Post on 06-Aug-2020
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Agenda Council Meeting 24 April 2018
Dear Council member The next Ordinary Meeting of the City of Nedlands will be held on Tuesday 24 April 2018 in the Council Chambers at 71 Stirling Highway Nedlands commencing at 7 pm. Greg Trevaskis Chief Executive Officer 18 April 2018
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Table of Contents
Declaration of Opening ................................................................................... 4 Present and Apologies and Leave Of Absence (Previously Approved) .......... 4 1. Public Question Time ..................................................................... 5 2. Addresses by Members of the Public ............................................. 5 3. Requests for Leave of Absence ..................................................... 5 4. Petitions ......................................................................................... 5 5. Disclosures of Financial Interest .................................................... 5 6. Disclosures of Interests Affecting Impartiality ................................. 6 7. Declarations by Members That They Have Not Given Due
Consideration to Papers ................................................................. 6 8. Confirmation of Minutes ................................................................. 6 8.1 Ordinary Council meeting 27 March 2018 ...................................... 6 9. Announcements of the Presiding Member without
discussion ...................................................................................... 6 10. Members announcements without discussion ................................ 6 11. Matters for Which the Meeting May Be Closed .............................. 7 12. Divisional reports and minutes of Council committees and
administrative liaison working groups ............................................. 7 12.1 Minutes of Council Committees ..................................................... 7 12.2 Planning & Development Report No’s PD12.18 to PD16.18
(copy attached) .............................................................................. 8 PD12.18 (Lot 5146) No. 2 Alfred Road, Claremont – Increase in Staff
and Children Numbers for a Child Day Care Centre (Retrospective) ............................................................................... 8
PD13.18 (Lot 786) No. 5 Minora Road, Dalkeith – Proposed Cabana ........ 10 PD14.18 Scheme Amendment No. 213 – High Amenity Corner Lots ......... 12 PD15.18 RFP 2017-18.01 Natural Areas and Greenways Weed
Control ......................................................................................... 13 PD16.18 (Lot 101) No. 8 Bishop Road, Dalkeith – Two Storey Single
House ......................................................................................... 14 12.3 Technical Services Report No’s TS05.18 to TS07.18 (copy
attached) ...................................................................................... 18 TS05.18 Beatrice Road Footpath between Wattle Avenue and
Adelma Road ............................................................................... 18 TS06.18 Martin Avenue Parking Restrictions ............................................. 19 TS07.18 RFT 2017-18.10 Supply and Delivery of Drainage Materials ....... 20 12.4 Corporate & Strategy Report No’s CPS07.18 to CPS10.18
(copy attached) ............................................................................ 21 CPS07.18 List of Accounts Paid – February 2018 ........................................ 21 CPS08.18 Strategic Community Plan – Nedlands 2027 ................................ 22 CPS09.18 Long Term Financial Plan 2019 - 2028 ........................................ 23 CPS10.18 Proposed Change of Land Tenure – 8 Sayer Street, Lot 353,
Swanbourne ................................................................................. 24 13. Reports by the Chief Executive Officer ........................................ 25 13.1 Common Seal Register Report – 23 February 2018 & March
2018 ............................................................................................. 25 13.2 List of Delegated Authorities – February & March 2018 ............... 27
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13.3 Monthly Financial Report – December 2017 ................................ 36 13.4 Investment Report – December 2017 .......................................... 40 13.5 Monthly Financial Report – March 2018 ....................................... 42 13.6 Investment Report – March 2018 ................................................. 46 13.7 RFT 2017-18.13 LED Lighting with Smart Controls ..................... 48 13.8 Local Planning Scheme 3 – Consideration of Submissions ......... 51 13.9 Conference Attendance Request – Councillor Smyth to
Attend 2018 World Cities Summit & Mayors Forum in Singapore from 8-12 July 2018 .................................................... 57
14. Elected Members Notices of Motions of Which Previous Notice Has Been Given ................................................................ 60
14.1 Councillor Hassell – City of Nedlands Heritage List ..................... 60 14.2 Councillor Wetherall – Local Planning Scheme 3 ........................ 61 15. Elected members notices of motion given at the meeting for
consideration at the following ordinary meeting on 22 May 2018 ............................................................................................. 62
16. Urgent Business Approved By the Presiding Member or By Decision ....................................................................................... 62
17. Confidential Items ........................................................................ 62 Declaration of Closure .................................................................................. 62
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City of Nedlands
Notice of an Ordinary Meeting of Council to be held in the Council Chambers, Nedlands on Tuesday 24 April 2018 at 7 pm.
Council Agenda Declaration of Opening The Presiding Member will declare the meeting open at 7 pm and will draw attention to the disclaimer below. (NOTE: Council at its meeting on 24 August 2004 resolved that should the meeting time reach 11.00 p.m. the meeting is to consider an adjournment motion to reconvene the next day). Present and Apologies and Leave Of Absence (Previously Approved) Leave of Absence None. (Previously Approved) Apologies None as at distribution of this agenda. Disclaimer Members of the public who attend Council meetings should not act immediately on anything they hear at the meetings, without first seeking clarification of Council’s position. For example by reference to the confirmed Minutes of Council meeting. Members of the public are also advised to wait for written advice from the Council prior to taking action on any matter that they may have before Council. Any plans or documents in agendas and minutes may be subject to copyright. The express permission of the copyright owner must be obtained before copying any copyright material.
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1. Public Question Time A member of the public wishing to ask a question should register that interest by notification in writing to the CEO in advance, setting out the text or substance of the question. The order in which the CEO receives registrations of interest shall determine the order of questions unless the Mayor determines otherwise. Questions must relate to a matter affecting the City of Nedlands.
2. Addresses by Members of the Public
Addresses by members of the public who have completed Public Address Session Forms to be made at this point.
3. Requests for Leave of Absence Any requests from Councillors for leave of absence to be made at this point.
4. Petitions
Petitions to be tabled at this point.
5. Disclosures of Financial Interest
The Presiding Member to remind Councillors and Staff of the requirements of Section 5.65 of the Local Government Act to disclose any interest during the meeting when the matter is discussed. A declaration under this section requires that the nature of the interest must be disclosed. Consequently, a member who has made a declaration must not preside, participate in, or be present during any discussion or decision making procedure relating to the matter the subject of the declaration. However, other members may allow participation of the declarant if the member further discloses the extent of the interest. Any such declarant who wishes to participate in the meeting on the matter, shall leave the meeting, after making their declaration and request to participate, while other members consider and decide upon whether the interest is trivial or insignificant or is common to a significant number of electors or ratepayers.
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6. Disclosures of Interests Affecting Impartiality
The Presiding Member to remind Councillors and Staff of the requirements of Council’s Code of Conduct in accordance with Section 5.103 of the Local Government Act. Councillors and staff are required, in addition to declaring any financial interests to declare any interest that may affect their impartiality in considering a matter. This declaration does not restrict any right to participate in or be present during the decision-making procedure. The following pro forma declaration is provided to assist in making the disclosure. “With regard to …… the matter in item x….. I disclose that I have an association with the applicant (or person seeking a decision). As a consequence, there may be a perception that my impartiality on the matter may be affected. I declare that I will consider this matter on its merits and vote accordingly.” The member or employee is encouraged to disclose the nature of the association.
7. Declarations by Members That They Have Not Given Due Consideration to Papers
Members who have not read the business papers to make declarations at this point.
8. Confirmation of Minutes
8.1 Ordinary Council meeting 27 March 2018
The Minutes of the Ordinary Council Meeting held 27 March 2018 are to be confirmed.
9. Announcements of the Presiding Member without discussion
Any written or verbal announcements by the Presiding Member to be tabled at this point.
10. Members announcements without discussion
Written announcements by Councillors to be tabled at this point. Councillors may wish to make verbal announcements at their discretion.
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11. Matters for Which the Meeting May Be Closed
Council, in accordance with Standing Orders and for the convenience of the public, is to identify any matter which is to be discussed behind closed doors at this meeting, and that matter is to be deferred for consideration as the last item of this meeting.
12. Divisional reports and minutes of Council committees and administrative liaison working groups
12.1 Minutes of Council Committees This is an information item only to receive the minutes of the various meetings held by the Council appointed Committees (N.B. This should not be confused with Council resolving to accept the recommendations of a particular Committee. Committee recommendations that require Council’s approval should be presented to Council for resolution via the relevant departmental reports). The Minutes of the following Committee Meetings (in date order) are to be received: Council Committee 10 April 2018 Circulated to Councillors on 13 April 2018
Note: As far as possible all the following reports under items 12.2, 12.3, 12.4 and 12.5 will be moved en-bloc and only the exceptions (items which Councillors wish to amend) will be discussed.
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12.2 Planning & Development Report No’s PD12.18 to PD16.18 (copy attached)
Note: Regulation 11(da) of the Local Government (Administration) Regulations 1996 requires written reasons for each decision made at the meeting that is significantly different from the relevant written recommendation of a committee or an employee as defined in section 5.70, but not a decision to only note the matter or to return the recommendation for further consideration. PD12.18 (Lot 5146) No. 2 Alfred Road, Claremont –
Increase in Staff and Children Numbers for a Child Day Care Centre (Retrospective)
Committee 10 April 2018 Council 24 April 2018 Applicant R Skinner Landowner A Skinner Director Peter Mickleson – Director Planning & Development Reference DA2017/253 Previous Item Nil Delegation In accordance with Clause 6.7.1a) of the City’s Instrument
of Delegation, Council is required to determine the application due to an objection being received.
Attachments
1. Photograph of the subject property 2. Photographs of the Parking Situation on 19 October
2017 3. Photographs of the Parking Situation on 24 October
2017 4. Photographs of the Parking Situation on 25 October
2017 5. Photographs of the Parking Situation on 21 March 2018 6. Photographs of the unauthorised patio structures 7. Noise Management Plan (received on 7 March 2018) 8. Photographs of the unauthorised shade sail structure 9. Photograph of the unauthorised sign
Committee Recommendation Council endorse the original approval with a maximum of 39 children and staff members as per State regulations.
Recommendation to Committee Council approves the retrospective development application to increase staff and children numbers at (Lot 5146) No. 2 Alfred Road, Mount Claremont, in accordance with the amended plans received on 7 December 2017, subject to the following conditions and advice: 1. The development shall at all times comply with the approved plans.
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2. The on site car-parking bays being maintained by the landowner to the City’s satisfaction.
3. A maximum of 10 staff and 46 children on the premises at any one time. 4. The child day care centre only being permitted to operate between 7.00am
and 6.00pm Monday to Friday (excluding public holidays). 5. All stormwater from the development, which includes permeable and non-
permeable areas, shall be contained onsite. 6. The landowner complying with the noise management plan received on 7
March 2018 (Attachment 7) to the City’s satisfaction. 7. Absorptive lining being applied to the underside of the patios’ roof frame
within 28 days from the date of this decision, in accordance with the Patio Acoustic Assessment dated 9 February 2018, to the City’s satisfaction.
8. The absorptive lining applied to the underside of the patios’ roof frame is
to remain and be maintained by the landowner thereafter to the City’s satisfaction.
Advice Notes specific to this proposal: 1. A separate application is required to be lodged and approved by the City
prior to increasing staff and/or children numbers for the child day care centre in future.
2. All downpipes from guttering shall be connected so as to discharge into
drains, which shall empty into a soak-well; and each soak-well shall be located at least 1.8m from any building, and at least 1.8m from the boundary of the block.
3. The landowner is advised that all mechanical equipment and activities on
the property are required to comply with the Environmental Protection (Noise) Regulations 1997, in relation to noise.
4. The applicant shall make application to the City’s Building Services for a
Building Permit, to acknowledge the unauthorised works.
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PD13.18 (Lot 786) No. 5 Minora Road, Dalkeith – Proposed Cabana
Committee 10 April 2018 Council 24 April 2018 Applicant Germano Design P/L Landowner B Saleeba Director Peter Mickleson – Director Planning & Development
Services Reference DA2018/28 Previous Item Nil. Delegation In accordance with Clause 6.7.1a) of the City’s Instrument
of Delegation, Council is required to determine the application due to an objection being received.
Attachments
1. Photographs of the cabana’s proposed location
Committee Recommendation That Council does not approve the application.
Recommendation to Committee Council approves the development application to construct a cabana at the rear of (Lot 786) No. 5 Minora Road, Dalkeith, received on 27 February 2018, subject to the following conditions and advice: 1. The development shall at all times comply with the application and the
approved plans, subject to any modifications required as a consequence of any condition(s) of this approval.
2. This development approval pertains to the proposed cabana only.
3. All stormwater from the development, which includes permeable and non-permeable areas, shall be contained onsite.
Advice Notes specific to this approval: 1. Stormwater to be contained on site by draining to soak-wells of adequate
capacity to contain runoff from a 20 year recurrent storm event. All downpipes from guttering shall be connected so as to discharge into drains, which shall empty into a soak-well; and each soak-well shall be located at least 1.8m from any building, at least 1.8m from the boundary of the block. Soak-wells shall be a minimum capacity of 1.0m3 for every 80m2 of calculated surface area of the development.
2. The swimming pool shall be kept dry during the construction period.
Alternatively, the water shall be maintained to a quality which prevents mosquitoes from breeding.
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3. This decision constitutes planning approval only and is valid for a period
of two years from the date of approval. If the subject development is not substantially commenced within the two year period, the approval shall lapse and be of no further effect.
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PD14.18 Scheme Amendment No. 213 – High Amenity Corner Lots
Committee 10 April 2018 Council 24 April 2018 Applicant Hemsley Planning Landowner Various Director Peter Mickleson – Director Planning & Development
Services Reference Nil Previous Item Nil Attachments 1. Scheme Amendment No. 213
Committee Recommendation / Recommendation to Committee Council: 1. Considers the amendment is a Complex Amendment for the
following reason:
a) The amendment is not consistent with a local planning strategy for the scheme that has been endorsed by the Commission.
2. Refuses to adopt Scheme Amendment No. 213 to Town Planning
Scheme No. 2 for the following reasons:
a) Council resolved at its May 2015 Ordinary Meeting not to adopt further amendments to Town Planning Scheme No. 2 due to the preparation of Local Planning Scheme No. 3;
b) The proposed amendment is not consistent with State Planning Policy; and
c) The proposed amendment is not consistent with the City of Nedlands Local Planning Strategy.
3. Does not proceed to advertise Scheme Amendment No. 213 to Town
Planning Scheme No. 2.
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PD15.18 RFP 2017-18.01 Natural Areas and Greenways Weed Control
Committee 10 April 2018 Council 24 April 2018 Applicant City of Nedlands Director Peter Mickleson – Director Planning & Development
Services Attachments Nil
Committee Recommendation / Recommendation to Committee Council: 1. Agrees to appoint panel no. 2017-18.01, as per the schedule of rates
submitted, with the following priority:
a) South East Regional Centre for Urban Landcare (SERCUL); b) Wake’s Contracting PL; and c) Natural Area Holdings Pty Ltd.
2. Authorises the Chief Executive Officer to confirm members of this
panel.
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PD16.18 (Lot 101) No. 8 Bishop Road, Dalkeith – Two Storey Single House
Committee 10 April 2018 Council 24 April 2018 Applicant Boughton Architecture Director Peter Mickleson – Director Planning & Development
Services Reference DA17/298 Previous Item PD03.18 – February 2018
PD10.18 – March 2018 Delegation In accordance with Clause 6.7.1a) of the City’s Instrument
of Delegation, Council is required to determine the application due to objections being received.
Attachments 1. Site Photographs 2. Applicant’s response to submissions
Committee Resolution Council refuses the development application received on 19 October 2017 and amended plans received 20 November 2017 for a Two Storey Single House at (Lot 101) No. 8 Bishop Road Dalkeith, for the following reasons: 1. The development does not comply with clause 5.3.3(a) of the City of
Nedlands Local Planning Scheme No.2.
Recommendation to Committee Council approves the development application received on 19 October 2017 and amended plans received 20 November 2017, for a Two Storey Single House at (Lot 101) No. 8 Bishop Road, Dalkeith, subject to the following conditions and advice: 1. The development shall at all times comply with the application and the
approved plans, subject to any modifications required as a consequence of any condition(s) of this approval.
2. This development approval only pertains to the two-storey single house,
associated dividing fencing and site works. 3. Amended plans shall be submitted with the building permit showing the
proposed dividing fencing to the northern and eastern side lot boundaries being a maximum of 1.8m above the higher of the ground levels at the lot boundary.
4. The parapet wall being finished to a professional standard within 14 days
of the proposed development’s practicable completion and be maintained thereafter by the landowner to the City’s satisfaction.
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5. All footings and structures to retaining walls, fences and parapet walls,
shall be constructed wholly inside the site boundaries of the property’s Certificate of Title.
6. All visual privacy screens and obscure glass panels to Major Openings
and Unenclosed Active Habitable Spaces as shown on the approved plans, shall prevent overlooking in accordance with the visual privacy requirements of the Residential Design Codes 2015. The visual privacy screens and obscure glass panels shall be installed prior to the development’s practicable completion and remain in place permanently, unless otherwise approved by the City.
7. All stormwater from the development, which includes permeable and non-
permeable areas shall be contained onsite. 8. No soil, building materials, rubbish or any other deleterious matter shall
be placed on the Parks and Recreation Reserve or be allowed the enter the river as a result of the demolition and construction works.
9. There shall be no access the site via the Parks and Recreation reserve
unless authorised by the City of Nedlands to do so. 10. No wastewater or backwash from the swimming pools are to be
discharged onto the land, into the river or into the local government drainage system.
11. Stormwater drainage shall be contained on site, or connected to the local
government stormwater drainage system, to the satisfaction of the City of Nedlands.
Advice Notes specific to this proposal: 1. In relation to Department of Biodiversity, Conservation and Attractions,
conditions, the following advice notes are applicable:
a) In regard to condition 11, stormwater runoff from constructed impervious surfaces generated by 1 year, 1 hour average occurrence interval (ARI) events (approximately a 15mm rainfall depth) should be retained and/or detained on the lot.
b) The applicant is advised that it is an offence under the Swan and Canning Rivers Management Regulations 2007 to destroy, pull up, cut back or injure any tree, shrub or perennial plant that is on land within the Swan Canning Development Control Area, except with the approval of the Department of Biodiversity Conservation and Attractions or unless otherwise exempt by the Regulations.
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2. A separate development application is required to be submitted to and approved by the City prior to erecting any fencing within the street setback area which is not compliant with the deemed-to-comply provisions of the Residential Design Codes.
3. The crossovers to the street shall be constructed to the Council’s Crossover Specifications and the applicant / landowner to obtain levels for the crossover from the Council’s Infrastructure Services under supervision onsite, prior to commencement of works.
4. Any development in the nature-strip (verge), including footpaths, will require a Nature-Strip Development Application (NSDA) to be lodged with, and approved by, the City’s Technical Services department, prior to construction commencing.
5. All street tree assets in the nature-strip (verge) shall not be removed. Any approved street tree removals shall be undertaken by the City of Nedlands and paid for by the owner of the property where the development is proposed, unless otherwise approved under the Nature Strip Development approval.
6. All swimming pool waste water shall be disposed of into an adequately sized, dedicated soak-well located on the same lot. Soak-wells shall not be situated closer than 1.8m to any boundary of a lot, building, septic tank or other soak-well.
7. All swimming pools, whether retained, partially constructed or finished,
shall be kept dry during the construction period. Alternatively, the water shall be maintained to a quality which prevents mosquitoes from breeding.
8. All downpipes from guttering shall be connected so as to discharge into
drains, which shall empty into a soak-well; and each soak-well shall be located at least 1.8m from any building, and at least 1.8m from the boundary of the block. Soak-wells of adequate capacity to contain runoff from a 20 year recurrent storm event. Soak-wells shall be a minimum capacity of 1.0m3 for every 80m2 of calculated surface area of the development.
9. All internal water closets and ensuites without fixed or permanent window access to outside air or which open onto a hall, passage, hobby or staircase, shall be serviced by a mechanical ventilation exhaust system which is ducted to outside air, with a minimum rate of air change equal to or greater than 25 litres / second.
10. Prior to the commencement of any demolition works, any Asbestos Containing Material (ACM) in the structure to be demolished, shall be identified, safely removed and conveyed to an appropriate landfill which accepts ACM.
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Removal and disposal of ACM shall be in accordance with Health (Asbestos) Regulations 1992, Regulations 5.43 - 5.53 of the Occupational Safety and Health Regulations 1996, Code of Practice for the Safe Removal of Asbestos 2nd Edition, Code of Practice for the Management and Control of Asbestos in a Workplace, and any Department of Commerce Worksafe requirements. Where there is over 10m2 of ACM or any amount of friable ACM to be removed, it shall be removed by a Worksafe licensed and trained individual or business.
11. The applicant is advised to consult the City’s Visual and Acoustic Privacy Advisory Information in relation to locating any mechanical equipment (e.g. air-conditioner, swimming pool or spa) such that noise, vibration and visual impacts on neighbours are mitigated. The City does not recommend installing any equipment near a property boundary where it is likely that noise will intrude upon neighbours. Prior to selecting a location for an air-conditioner, the applicant is advised to consult the online fairair noise calculator at www.fairair.com.au and use this as a guide to prevent noise affecting neighbouring properties. Prior to installing mechanical equipment, the applicant is advised to consult neighbours, and if necessary, take measures to suppress noise.
12. This decision constitutes planning approval only and is valid for a period of two years from the date of approval. If the subject development is not substantially commenced within the two year period, the approval shall lapse and be of no further effect.
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12.3 Technical Services Report No’s TS05.18 to TS07.18 (copy attached)
Note: Regulation 11(da) of the Local Government (Administration) Regulations 1996 requires written reasons for each decision made at the meeting that is significantly different from the relevant written recommendation of a committee or an employee as defined in section 5.70, but not a decision to only note the matter or to return the recommendation for further consideration.
TS05.18 Beatrice Road Footpath between Wattle Avenue and Adelma Road
Committee 10 April 2018 Council 24 April 2018 Applicant City of Nedlands Officer Irene Chiang – Engineering Technical Officer Director Martyn Glover – Director of Technical Services Attachments 1. Proposed final design drawings
2. Pedestrian Shed Plan 3. Engagement report
Committee Recommendation That Council approves the construction of a meandering footpath on the south side of Beatrice Road between Wattle Avenue and Adelma Road. Recommendation to Committee That Council approves the construction of the new footpath on the south side of Beatrice Road between Wattle Avenue and Adelma Road as detailed in Attachment 1 of this report.
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TS06.18 Martin Avenue Parking Restrictions Committee 10 April 2018 Council 24 April 2018 Applicant City of Nedlands Officer James Cresswell – Manager Infrastructure Services Director Martyn Glover – Director Technical Services Attachments 1. Proposed Parking Restriction Drawing MA3-2018-
01-MGA94-2 2. Martin Avenue – Proposed Parking Restrictions
Community Engagement Results Committee Recommendation / Recommendation to Committee Council: 1. approves the proposed parking restriction included in attached
drawing number MA3-2018-01-MGA94-2; and
2. supports the prohibition amendment from 3 hours to 2 hours; and
3. requests that the lead petitioner be advised of Council’s decision.
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TS07.18 RFT 2017-18.10 Supply and Delivery of Drainage Materials
Committee 10 April 2018 Council 24 April 2018 Applicant City of Nedlands Officer Nathan Brewer – Purchasing and Tenders Coordinator Director Martyn Glover – Director Technical Services Attachments Appendix A – Drainage Materials Final Evaluation
(Confidential) Committee Recommendation / Recommendation to Committee Council: 1. agrees to award tender no. 2017-18.10 to Access Icon Pty Ltd t/a
Cascada for the Supply and Delivery of Drainage Materials as per the schedule of rates submitted; and
2. authorises the Chief Executive Officer to sign an acceptance of offer
for this tender.
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12.4 Corporate & Strategy Report No’s CPS07.18 to CPS10.18 (copy attached) Note: Regulation 11(da) of the Local Government (Administration) Regulations 1996 requires written reasons for each decision made at the meeting that is significantly different from the relevant written recommendation of a committee or an employee as defined in section 5.70, but not a decision to only note the matter or to return the recommendation for further consideration. CPS07.18 List of Accounts Paid – February 2018
Committee 13 April 2018 Council 24 April 2018 Applicant City of Nedlands Officer Vanaja Jayaraman – Manager Finance Director Lorraine Driscoll – Director Corporate & Strategy Attachments 1. Creditor Payment Listing February 2018
2. Purchasing Card Payments February 2018 (29th January – 28th February)
Committee Recommendation / Recommendation to Committee Council receives the List of Accounts Paid for the month of February 2018 (refer to attachments).
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CPS08.18 Strategic Community Plan – Nedlands 2027
Committee 10 April 2018 Council 24 April 2018 Applicant City of Nedlands Officer Pollyanne Fisher – Policy & Projects Officer Director Lorraine Driscoll – Director Corporate & Strategy Attachments 1. Strategic Community Plan – Nedlands 2027
2. Report – Measuring Success in 2017 – out Strategic Community Plan
Committee Recommendation / Recommendation to Committee Council adopt the City of Nedlands Strategic Community Plan “Nedlands 2027”, as provided in Attachment 1.
ABSOLUTE MAJORITY REQUIRED
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CPS09.18 Long Term Financial Plan 2019 - 2028 Committee 10 April 2018 Council 24 April 2018 Applicant City of Nedlands Officer Vanaja Jayaraman - Manager Financial Services Director Lorraine Driscoll – Director Corporate & Strategy Attachments 1. Long Term Financial Plan 2019 – 2028 - Rate
Setting Statement - Summary Committee Recommendation That the item be adjourned to the May Councillor Briefing Sessions. Recommendation to Committee That the 2019 – 2028 Long Term Financial Plan be endorsed to provide the financial framework for the delivery of the City’s Strategic Community Plan.
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CPS10.18 Proposed Change of Land Tenure – 8 Sayer Street, Lot 353, Swanbourne
Committee 10 April 2018 Council 24 April 2018 Applicant City of Nedlands Officer Pollyanne Fisher – Policy & Projects Officer Director Lorraine Driscoll – Director Corporate & Strategy Attachments 1. Submissions
2. Extract from Allen Park Master Plan – consultation submission
Committee Recommendation / Recommendation to Committee Council approves the making of a request to the Minister of Lands to acquire as Crown land, Lot 353 on deposited plan 35159, known as 8 Sayer Street, Swanbourne “the Walkway”, currently owned in freehold by the City, to be combined with adjacent Crown A Class Reserve, vested in a Management Order to the City for the ongoing purpose of ‘Recreation and Conservation’.
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13. Reports by the Chief Executive Officer
13.1 Common Seal Register Report – 23 February 2018 & March 2018
The attached Common Seal Register Report for the 23 February 2018 and the month of March 2018 is to be received. February 2018 SEAL NUMBER DATE SEALED DEPARTMENT MEETING DATE / ITEM NO. REASON FOR USE
907 23 February 2018
Planning & Development
Delegated Authority Seal Certification - Seal No. 907 - A condition of subdivision approval for the amalgamation of No. 2A & 2 Jutland Parade was the removal of the existing dwelling on No. 2A Jutland Parade, Dalkeith. As the owners requested retention of the existing dwelling whilst a new dwelling is being constructed on the lot (No. 2 Jutland Parade) a caveat has been placed on the title to ensure that the lot cannot be sold without the execution of the deed of agreement between the City of Nedlands and the landowners. The deed of agreement requires the landowners to remove the existing single dwelling (previously 2A Jutland Parade) upon the completion of the new dwelling. The landowners require the withdrawal of the caveat to permit the registration of an Application for New Titles as the registered proprietors are amalgamating the two lots. (2 copies)
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March 2018 SEAL NUMBER DATE SEALED DEPARTMENT MEETING DATE / ITEM NO. REASON FOR USE
908 2 March 2018 Corporate & Strategy
13.5 Council Meeting - 28 November 2017
Seal Certification - Seal No. 908 Contract of Sale - Lot 18 (No. 75) Doonan Road, Nedlands (2 copies) between City of Nedlands to Deuke Investments Pty Ltd
909 26 March 2018 CEO Office CPS03.18 - Council Meeting 27 February 2018
Seal Certification - Seal No. 909 - Waste Amendment Local Law 2017
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13.2 List of Delegated Authorities – February & March 2018
The attached List of Delegated Authorities for the month of February & March 2018 is to be received.
Date of use of delegation of authority
Title Position exercising delegated authority
Act Section of Act Applicant / CoN / Property Owner / Other
February 2018 01/02/2018 Approval to write off minor rates
debt January 2018 - $30.60 Chief Executive Officer – Greg Trevaskis
Local Government Act
Section 6.12 (1) (c) City of Nedlands
02/02/2018 (CANCELLED) – DA17/284 – 64 Florence Rd, Nedlands – Two Storey Single House
Senior Statutory Planning Officer – Kate Bainbridge
City of Nedlands TPS2
Section 6.7.1 Allerding & Associates
02/2/2018 Seal Certification - Seal No. 905 - WAPC approved a Deposited Plan for Lot 888 and 889 Monash Avenue, Nedlands, carriageway and footway easements are to be removed from the Titles for the properties. The applicant has requested that the City sign and seal the attached application for the discharge of easements.
Chief Executive Officer – Greg Trevaskis
Local Government Act
City of Nedlands
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05/02/2018 (CANCELLED) – DA17/343 – 1 Underwood Ave, Mt Claremont – Relocation of Existing Demountable Units and Installation of Water Tank
Senior Statutory Planning Officer – Kate Bainbridge
City of Nedlands TPS2
Section 6.7.1 Mr P McCann UWA
05/02/2018 (APP) – DA18/4 – 74 Waratah Ave, Dalkeith – Additions (Front Fence) to Single House
Coordinator Statutory Planning – Andrew Bratley
City of Nedlands TPS2
Section 6.7.1 R I Collin
06/02/2018 (APP) – DA17/249 – 62 Kirwan St, Floreat – Two Storey Single House
Coordinator Statutory Planning – Andrew Bratley
City of Nedlands TPS2
Section 6.7.1 P J Esslemont
06/02/2018 3030437 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Shaun Clifford
08/02/2018 303089 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Lucy Birighitti
08/02/2018 3026173 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Tatiana Oxwell
12/02/2018 3029560 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Tahlia Beeson
Council Agenda 24 April 2018
29
12/02/2018 3030531 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Victor Dimon
12/02/2018 3029634 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Louise Smith
12/02/2018 3026166 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Daniela Vicanova
12/02/2018 Seal Certification - Seal No. 906 - Section 70A Notification form in order to satisfy condition 3 of development approval granted for ancillary accommodation at 35 Bruce Street, Nedlands (Reference DA2016/246)
Chief Executive Officer – Greg Trevaskis
Local Government Act 1995
City of Nedlands
12/02/2018 (APP) – DA17/333 – 35 Gordon St, Nedlands – Additions to Garage
Manager Planning – Jennifer Heyes
City of Nedlands TPS2
Section 6.7.1 Griffiths Architect
12/02/2018 (APP) – DA18/18 – 30/145 Stirling Hwy, Nedlands – Alterations (Mezzanine) to Existing Office
Manager Planning – Jennifer Heyes
City of Nedlands TPS2
Section 6.7.1 Capital Industries
13/02/2018 (APP) – DA18/22 – 96 Florence St, Nedlands – Additions to Carport
Manager Planning – Jennifer Heyes
City of Nedlands TPS2
Section 6.7.1 B and T Cullinan
Council Agenda 24 April 2018
30
14/02/2018 (APP) – DA17/348 – 37 Neville Rd, Dalkeith – Additions to Single House
Coordinator Statutory Planning – Andrew Bratley
City of Nedlands TPS2
Section 6.7.1 Mo Wilson Drafting & Design
20/02/2018 3030506 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Zoe Mackay
20/02/2018 3030505 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Tynaya Leitzie
20/02/2018 3030508 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Claudia Ashton
20/02/2018 3029099 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Shelley Carulli
20/02/2018 3029097 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Toby Hector
20/02/2018 (APP) – DA18/11 – 37 Portland St, Nedlands – Additions to Single House
Manager Planning – Jennifer Heyes
City of Nedlands TPS2
Section 6.7.1 Summit Home Improvements
Council Agenda 24 April 2018
31
23/02/2018 (APP) – DA17/345 – 2 Jutland Pde, Dalkeith – Additions to Single House
Coordinator Statutory Planning – Andrew Bratley
City of Nedlands TPS2
Section 6.7.1 Hawk Construction
23/02/2018 Seal Certification - Seal No. 907 - A condition of subdivision approval for the amalgamation of No. 2A & 2 Jutland Parade was the removal of the existing dwelling on No. 2A Jutland Parade, Dalkeith. As the owners requested retention of the existing dwelling whilst a new dwelling is being constructed on the lot (No. 2 Jutland Parade) a caveat has been placed on the title to ensure that the lot cannot be sold without the execution of the deed of agreement between the City of Nedlands and the landowners. The deed of agreement requires the landowners to remove the existing single dwelling (previously 2A Jutland Parade) upon the completion of the new dwelling. The landowners require the withdrawal of the caveat to permit the registration of an Application for New Titles as the registered
Chief Executive Officer – Greg Trevaskis
Local Government Act 1995
Deseree Taddei
Council Agenda 24 April 2018
32
proprietors are amalgamating the two lots. (2 copies)
23/02/2018 3028369 – Parking Infringement Withdrawal - other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Ben Moran
23/02/2018 3029100 – Parking Infringement Withdrawal – vehicle broken down
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Shane Attwell
23/02/2018 3029633 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Janelle Stanbury
March 2018 07/03/2018 3030594 – Parking Infringement
Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Tanya Finch
07/03/2018 3030584 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Jessica Kurniawan
07/03/2018 3031001 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Janine von Retzlaff
Council Agenda 24 April 2018
33
07/03/2018 3031010 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Daniel Stefanelli
06/03/2018 Approval to write off minor rates debt February 2018 - $49.06
A/Chief Executive Officer – Peter Mickleson
Local Government Act
Section 6.12 (1) (c) City of Nedlands
08/03/2018 3030438 – Parking Infringement Withdrawal – error made by issuing officer
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Josephine Ziatas
08/03/2018 3027622 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) David Blyth
09/03/2018 3029595 – Parking Infringement Withdrawal – error made by issuing officer
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Richard Barden
09/03/2018 3028726 – Parking Infringement Withdrawal – error made by issuing officer
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Barbara Howard
09/03/2018 3029214– Parking Infringement Withdrawal – error made by issuing officer
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) David Worthy
Council Agenda 24 April 2018
34
09/03/2018 3029656 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Siying Wong
19/03/2018 3029537 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Katherine Griffin
19/03/2018 3029561 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Julie Silvester
23/03/2018 3030593, 3031053, 3031068 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Steven Wityk
23/03/2018 3031095 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Coral Ryan
23/03/2018 3031161 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Carol Vincent
23/03/2018 3029669 – Parking Infringement Withdrawal – officer error
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Beau Roberts
Council Agenda 24 April 2018
35
27/03/2018 3031063 – Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Vanessa Ranford
27/03/2018 3027752 - Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Hugh Atkinson
27/03/2018 3027753 - Parking Infringement Withdrawal – other compassionate grounds
Manager Health & Compliance – Andrew Melville
Local Government Act 1995
Section 9.20/6.12(1) Rajan Sharma
Council Agenda 24 April 2018
36
13.3 Monthly Financial Report – December 2017
Council 24 April 2018 Applicant City of Nedlands Officer Vanaja Jayaraman –Manager Financial Services Director Lorraine Driscoll – Director Corporate & Strategy Attachments 1. Financial Summary (Operating) by Business Units
– 31 December 20172. Capital Works & Acquisitions – 31 December 20173. Net Current Assets – 31 December 20174. Statement of Activity – 31 December 2017
Executive Summary
Administration is required to provide Council with a monthly financial report in accordance with Regulation 34(1) of the Local Government (Financial Management) Regulations 1996. The monthly financial variance from the budget of each business unit is reviewed with the respective manager and the Executive to identify the need for any remedial action. Significant variances are highlighted to Council in the attached Monthly Financial Report.
Recommendation to Council
Council receives the Monthly Financial Report for 31 December 2017.
Discussion/Overview
The monthly financial management report meets the requirements of Regulation 34(1) and 34(5) of the Local Government (Financial Management) Regulations 1996.
The monthly financial variance from the budget of each business unit is reviewed with the respective Manager and the Executive to identify the need for any remedial action. Significant variances are highlighted to Council in the Monthly Financial Report.
This report gives an overview of the revenue and expenses of the City for the month of December 2017 together with a Net Assets Statement as at 31 December 2017.
The operating revenue at the end of December 2017 was $29.76 M which represents a $718k favourable variance compared to the year-to-date budget.
The operating expense at the end of December 2017 was $15 M, which represents a $2.5M favourable variance compared to the year-to-date budget.
Council Agenda 24 April 2018
37
The attached Operating Statement compares “Actual” with “Budget” by Business Units. Variations from the budget of revenue and expenses by Directorates are highlighted in the following paragraphs.
Governance
Expenditure: Favourable variance of $ 134,084 Revenue: Favourable variance of $ 108,436
The favourable expenditure variance is mainly due to expenses in special projects, professional fees, other employee cost and ICT expenses which have yet to be allocated or expended.
The favourable revenue variance is due to the invoicing of the 2016/17 cost of WESROC projects invoiced to other Councils in July and income from Hollywood parking fees due to the extension of the contract.
Corporate and Strategy
Expenditure: Favourable variance of $ 380,841 Revenue: Favourable variance of $ 539,610
Favourable expenditure variance is mainly due to Customer Service and Finance salary savings of $117k due to vacancies not filled yet and expenses not expended yet for special projects, professional fees and ICT Expenses of $187k. Interest of $56k on loans have not been expended yet.
Favourable revenue variance is due to higher rates of $529k. However, Landgate has informed us that there are errors in some valuations they provided. The rates we have raised based on the wrong valuation is $443k and we are awaiting their confirmation before we adjust the errors.
Community Development
Expenditure: Favourable variance of $ 212,981 Revenue: Favourable variance of $ 110,039
The favourable expenditure variance is mainly due to expenses not expended yet for community donations of $19k, activities of $31k and other expenses of $53k for NCC, Library and PROCC. There is also cost savings of $102k in NCC and Library salaries arising from vacancies not filled yet and less use of relief staff.
The Favourable revenue variance is due to NCC and community development grants of $80k received earlier than budgeted. Slight increase in fees and charges of $19k from all department also contributed to favourable variance.
Council Agenda 24 April 2018
38
Planning and Development
Expenditure: Favourable variance of $ 199,984 Revenue: Unfavourable variance of $ 35,593
The favourable expenditure variance is mainly due to expenses not expended yet for strategic projects of $63k and other expenses of $72k from Environmental and ranger services. Savings on sustainability operational activities $20k. Also, small savings on professional fees of $28k from Environmental health and building services.
Unfavourable variance is mainly due to less income of fees and charges from planning and building services due to less applications received.
Technical Services
Expenditure: Favourable variance of $ 1,620,140 Revenue: Unfavourable variance of $ 4,256
The favourable expenditure variance is mainly due to expenses not expended yet for maintenance of buildings and parks of $534k. The UGP works expenses have also been not expended yet, at an estimated cost of $403k. Savings on Depreciation of $616k due to increase in remaining useful life based on the revaluation exercise carried out as at 30th June 2017.
Capital Works Programme
At the end of December, the expenditure on capital works were $5.130 M with further commitments of $1.502 M which is 47% of a total post-audit revised budget of $14.227 M.
Net Current Assets Statement
At 31 December 2017, net current assets were $16.244 M compared to $17.860 M in prior period. This is mainly due to a higher creditor payment of $3.504 M in December.
The sundry receivable balance is higher by $136k arising from invoicing of $145k to Rotary for the All Abilities Play Space Grant.
Conclusion
The statement of financial activity for the period ended 31 December 2017 indicates that operating expenses are under the year-to-date budget by 14.5% or $2.548 M, while revenue is above the Budget by 2.5% or $718k.
Key Relevant Previous Council Decisions:
Nil.
Council Agenda 24 April 2018
39
Consultation N/A Budget/Financial Implications As outlined in the Monthly Financial Report.
Row Labels Master Account (desc)
December
Actual YTD
December
Budget YTD Variance
Committed
Balance Annual Budget
Budget
Available
Governance
CEO`s Office
Governance
Expense
20420 Salaries ‐ Governance 437,541 403,320 (34,221) 0 806,028 368,487
20421 Other Employee Costs ‐ Governance 23,731 22,100 (1,631) 0 33,600 9,869
20423 Office ‐ Governance 12,856 17,348 4,492 1,043 27,700 13,801
20424 Motor Vehicles ‐ Governance 6,127 6,252 125 0 12,500 6,373
20425 Depreciation ‐ Governance 45,218 97,452 52,234 0 194,900 149,682
20427 Finance ‐ Governance 124,200 124,178 (22) 0 248,358 124,158
20428 Insurance ‐ Governance 154,176 129,800 (24,376) 0 129,800 (24,376)
20430 Other ‐ Governance 5,514 9,000 3,486 100 18,000 12,386
20434 Professional Fees ‐ Governance 9,067 25,000 15,933 0 50,000 40,933
20449 Loss Sale of Assets ‐ Governance 0 0 0 0 0 0
20450 Special Projects ‐ Governance / PC93 41,265 113,750 72,485 0 202,500 161,235
Expense Total 859,696 948,200 88,504 1,143 1,723,386 862,547
Income
50410 Sundry Income ‐ Governance (171,766) (62,148) 109,618 0 (124,300) 47,466
Income Total (171,766) (62,148) 109,618 0 (124,300) 47,466
Governance Total 687,930 886,052 198,122 1,143 1,599,086 910,012
Communications
Expense
28320 Salaries ‐ Communications 136,326 154,806 18,480 0 309,599 173,273
28321 Other Employee Costs ‐ Communications 3,509 7,300 3,791 0 14,000 10,491
28323 Office ‐ Communications 43,410 38,354 (5,056) 9,175 79,300 26,715
28327 Finance ‐ Communications 45,540 45,540 0 0 91,085 45,545
28330 Other ‐ Communications 1,159 1,698 539 0 1,900 741
28334 Professional Fees ‐ Communications 0 250 250 0 500 500
28335 ICT Expenses ‐ Communications 22,305 27,800 5,495 3,285 32,600 7,010
28350 Special Projects ‐ Communications / PC 90 0 20,000 20,000 0 40,000 40,000
Expense Total 252,249 295,748 43,499 12,460 568,984 304,275
Communications Total 252,249 295,748 43,499 12,460 568,984 304,275
Human Resources
Expense
20520 Salaries ‐ HR 184,486 158,724 (25,762) 0 317,447 132,961
20521 Other Employee Costs ‐ HR 67,297 98,348 31,051 3,433 166,400 95,670
20522 Staff Recruitment ‐ HR 5,314 13,002 7,688 445 56,000 50,241
20523 Office ‐ HR 648 2,508 1,860 948 5,000 3,404
20524 Motor Vehicles ‐ HR 5,634 5,700 66 0 11,400 5,766
20525 Depreciation ‐ HR 234 252 18 0 500 266
20527 Finance ‐ HR (331,680) (331,674) 6 0 (663,347) (331,667)
20530 Other ‐ HR 289 1,302 1,013 0 2,600 2,311
20534 Professional Fees ‐ HR 55,552 45,000 (10,552) 0 90,000 34,448
20535 ICT Expenses ‐ HR 0 18,998 18,998 0 24,000 24,000
Expense Total (12,225) 12,160 24,385 4,826 10,000 17,399
Income
50510 Contributions & Reimbursements ‐ HR (3,816) (4,998) (1,182) 0 (10,000) (6,184)
Income Total (3,816) (4,998) (1,182) 0 (10,000) (6,184)
Human Resources Total (16,041) 7,162 23,203 4,826 0 11,215
Members Of Council
Expense
20323 Office ‐ MOC 16,346 18,000 1,654 4,948 36,000 14,706
20325 Depreciation ‐ MOC 435 450 15 0 900 465
20329 Members of Council ‐ MOC 248,621 224,304 (24,317) 0 448,600 199,979
20330 Other ‐ MOC 155 498 343 0 1,000 845
Expense Total 265,556 243,252 (22,304) 4,948 486,500 215,995
Members Of Council Total 265,556 243,252 (22,304) 4,948 486,500 215,995
CEO`s Office Total 1,189,694 1,432,214 242,520 23,378 2,654,570 1,441,498
Governance Total 1,189,694 1,432,214 242,520 23,378 2,654,570 1,441,498
Corporate & Strategy
Corporate Strategy & Systems
Customer Services
Expense
21320 Salaries ‐ Customer Service 200,690 272,370 71,680 0 544,750 344,060
21321 Other Employee Costs ‐ Customer Service 3,468 5,102 1,634 0 7,000 3,532
21323 Office ‐ Customer Service 2,897 2,754 (143) 1,882 5,500 721
CITY OF NEDLANDS
FINANCIAL SUMMARY ‐ OPERATING ‐ BY BUSINESS UNIT
AS AT 31 DECEMBER 2017
Item 13.3 - Attachment 1
21327 Finance ‐ Customer Service (389,100) (389,126) (26) 0 (778,250) (389,150)
21330 Other ‐ Customer Service 5,774 10,500 4,726 5,727 21,000 9,499
21334 Professional Fees ‐ Customer Service 0 0 0 0 0 0
21350 Special Projects ‐ Customer Service 134,884 216,000 81,116 30,438 216,000 50,678
Expense Total (41,387) 117,600 158,987 38,047 16,000 19,340
Income
51301 Fees & Charges ‐ Customer Services (480) 0 480 0 0 480
Income Total (480) 0 480 0 0 480
Customer Services Total (41,867) 117,600 159,467 38,047 16,000 19,820
ICT
Expense
21720 Salaries ‐ ICT 230,115 215,720 (14,395) 0 431,438 201,323
21721 Other Employee Costs ‐ ICT 17,161 19,750 2,589 0 33,500 16,339
21723 Office ‐ ICT 18,349 25,002 6,653 1,269 50,000 30,382
21724 Motor Vehicles ‐ ICT 8,666 10,650 1,984 0 21,300 12,634
21725 Depreciation ‐ ICT 101,535 114,504 12,969 0 229,000 127,465
21727 Finance ‐ ICT (907,080) (907,070) 10 0 (1,814,138) (907,058)
21730 Other ‐ ICT 0 498 498 0 1,000 1,000
21734 Professional Fees ‐ ICT 34,680 60,000 25,320 24,205 120,000 61,115
21735 ICT Expenses ‐ ICT 371,858 408,950 37,092 14,788 817,900 431,254
21749 Loss Sale of Assets ‐ ICT 0 0 0 0 0 0
21750 Special Projects ‐ ICT 17,298 42,006 24,709 8,081 84,000 58,621
Expense Total (107,417) (9,990) 97,427 48,343 (26,000) 33,074
ICT Total (107,417) (9,990) 97,427 48,343 (26,000) 33,074
Records
Expense
22020 Salaries ‐ Records 0 0 0 0 0 0
22021 Other Employee Costs ‐ Records 0 0 0 0 0 0
22030 Other ‐ Records 0 0 0 0 0 0
22034 Professional Fees ‐ Records 0 0 0 0 0 0
Expense Total 0 0 0 0 0 0
Records Total 0 0 0 0 0 0
Corporate Strategy & Systems Total (149,284) 107,610 256,894 86,391 (10,000) 52,894
Finance
Rates
Expense
21920 Salaries ‐ Rates 42,072 41,592 (480) 0 83,183 41,111
21921 Other Employee Costs ‐ Rates 1,801 1,200 (601) 0 1,200 (601)
21923 Office ‐ Rates 10,382 6,999 (3,383) 0 14,000 3,618
21927 Finance ‐ Rates 76,169 68,084 (8,085) 0 136,174 60,005
21930 Other ‐ Rates 8,825 9,999 1,174 0 20,000 11,175
21934 Professional Fees ‐ Rates 54,209 50,901 (3,308) 6,358 58,300 (2,267)
Expense Total 193,459 178,775 (14,684) 6,358 312,857 113,040
Income
51908 Rates ‐ Rates (23,204,086) (22,674,199) 529,887 0 (22,716,728) 487,358
Income Total (23,204,086) (22,674,199) 529,887 0 (22,716,728) 487,358
Rates Total (23,010,627) (22,495,424) 515,203 6,358 (22,403,871) 600,398
General Finance
Expense
21420 Salaries ‐ Finance 387,073 432,676 45,603 0 865,357 478,284
21421 Other Employee Costs ‐ Finance 18,459 30,298 11,839 0 50,000 31,541
21423 Office ‐ Finance 47,710 58,149 10,439 9,932 116,300 58,658
21424 Motor Vehicles ‐ Finance 5,423 10,500 5,077 0 21,000 15,577
21425 Depreciation ‐ Finance 221 702 481 0 1,400 1,179
21427 Finance ‐ Finance (532,245) (531,428) 817 6,341 (1,062,857) (536,953)
21428 Insurance ‐ Finance 2,041 0 (2,041) 0 0 (2,041)
21430 Other ‐ Finance 0 1,500 1,500 0 3,000 3,000
21434 Professional Fees ‐ Finance 18,645 26,247 7,602 3,965 52,500 29,891
21450 Special Projects ‐ Finance 489 20,000 19,511 0 40,000 39,511
Expense Total (52,183) 48,644 100,827 20,238 86,700 118,645
Income
51401 Fees & Charges ‐ Finance (38,345) (31,102) 7,243 0 (62,200) (23,855)
51410 Sundry Income ‐ Finance (22,509) (23,248) (739) 0 (24,500) (1,991)
Income Total (60,854) (54,350) 6,504 0 (86,700) (25,846)
General Finance Total (113,037) (5,706) 107,331 20,238 0 92,800
General Purpose
Expense
21627 Finance ‐ General Purpose 0 21,400 21,400 0 40,800 40,800
21631 Interest ‐ General Purpose 94,072 128,885 34,813 0 289,000 194,928
Expense Total 94,072 150,285 56,213 0 329,800 235,728
Income
51602 Service Charges ‐ General Purpose (13) 0 13 0 0 13
51604 Grants Operating ‐ General Purpose (169,152) (198,234) (29,083) 0 (396,470) (227,319)
51607 Interest ‐ General Purpose (225,365) (193,548) 31,817 0 (387,100) (161,735)
Item 13.3 - Attachment 1
51610 Sundry Income ‐ General Purpose 8 0 (8) 0 0 (8)
Income Total (394,521) (391,782) 2,739 0 (783,570) (389,049)
General Purpose Total (300,449) (241,497) 58,952 0 (453,770) (153,321)
Shared Services
Expense
21523 Office ‐ Shared Services 11,904 10,998 (906) 3,312 22,000 6,783
21527 Finance ‐ Shared Services (37,020) (37,002) 18 0 (74,000) (36,980)
21534 Professional Fees ‐ Shared Services 25,541 8,499 (17,042) 727 52,000 25,732
Expense Total 425 (17,505) (17,930) 4,040 0 (4,464)
Shared Services Total 425 (17,505) (17,930) 4,040 0 (4,464)
Finance Total (23,423,689) (22,760,132) 663,557 30,635 (22,857,641) 535,413
Corporate & Strategy Total (23,572,973) (22,652,522) 920,451 117,026 (22,867,641) 588,306
Community Development
Community Development
Community Development
Expense
28120 Salaries ‐ Community Development 219,335 217,076 (2,259) 0 434,157 214,822
28121 Other Employee Costs ‐ Community Development 12,924 12,850 (74) 0 19,900 6,976
28123 Office ‐ Community Development 996 2,106 1,110 2,370 4,200 834
28124 Motor Vehicles ‐ Community Development 6,113 6,948 835 0 13,900 7,787
28125 Depreciation ‐ Community Development 1,612 1,698 86 0 3,400 1,788
28127 Finance ‐ Community Development 96,420 96,432 12 0 192,865 96,445
28130 Other ‐ Community Development 4,473 1,752 (2,721) 0 3,500 (973)
28134 Professional Fees ‐ Community Development 500 1,002 502 0 2,000 1,500
28137 Donations ‐ Community Development 105,456 124,848 19,392 0 249,700 144,244
28150 Special Projects ‐ Community Development 1,771 7,500 5,729 0 15,000 13,229
28151 OPRL Activities ‐ Community Development / PC82 44,352 76,051 31,699 53,826 187,800 89,622
Expense Total 493,952 548,263 54,311 56,196 1,126,422 576,273
Income
58101 Fees & Charges ‐ Community Development (12,126) (10,752) 1,374 0 (21,500) (9,374)
58104 Grants Operating ‐ Community Development (21,000) (3,752) 17,248 0 (26,500) (5,500)
58106 Contributions & Reimbursem ‐ Community Develo (100) (3,000) (2,900) 0 (3,000) (2,900)
Income Total (33,226) (17,504) 15,722 0 (51,000) (17,774)
Community Development Total 460,726 530,759 70,033 56,196 1,075,422 558,499
Community Facilities
Income
58201 Fees & Charges ‐ Community Facilities (7,070) (6,252) 818 0 (12,500) (5,430)
58206 Contributions & Reimbursemen ‐Community Facil 0 (498) (498) 0 (1,000) (1,000)
58209 Council Property ‐ Community Facilities (99,918) (92,754) 7,164 0 (185,500) (85,582)
Income Total (106,988) (99,504) 7,484 0 (199,000) (92,012)
Community Facilities Total (106,988) (99,504) 7,484 0 (199,000) (92,012)
Volunteer Services VRC
Expense
29320 Salaries ‐ Volunteer Services VRC 43,865 41,526 (2,339) 0 83,056 39,191
29321 Other Employee Cost ‐ Volunteer Services VRC 1,047 1,950 903 0 2,700 1,653
29323 Office ‐ Volunteer Services VRC 739 2,500 1,761 0 5,000 4,261
29327 Finance ‐ Volunteer Services VRC 12,180 12,204 24 0 24,405 12,225
29330 Other ‐ Volunteer Services VRC 3,451 3,650 199 728 7,300 3,121
Expense Total 61,283 61,830 547 728 122,461 60,451
Income
59304 Grants Operating ‐ Volunteer Services VRC (15,031) (14,300) 731 0 (14,300) 731
Income Total (15,031) (14,300) 731 0 (14,300) 731
Volunteer Services VRC Total 46,252 47,530 1,278 728 108,161 61,181
Volunteer Services NVS
Expense
29220 Salaries ‐ Volunteer Services NVS 13,126 15,294 2,168 0 30,597 17,471
29221 Other Employee Costs ‐ Volunteer Services NVS 420 500 80 0 500 80
29223 Office ‐ Volunteer Services NVS 135 1,699 1,564 0 3,400 3,265
29227 Finance ‐ Volunteer Services NVS 11,220 11,196 (24) 0 22,396 11,176
29230 Other ‐ Volunteer Services NVS 602 1,999 1,397 1,048 4,000 2,350
29250 Special Projects ‐ Volunteer Services NVS 1,634 0 (1,634) 0 0 (1,634)
Expense Total 27,136 30,688 3,552 1,048 60,893 32,709
Volunteer Services NVS Total 27,136 30,688 3,552 1,048 60,893 32,709
Tresillian Community Centre
Expense
29120 Salaries ‐ Tresillian CC 126,833 120,048 (6,785) 0 240,095 113,262
29121 Other Employee Costs ‐ Tresillan CC 4,727 4,700 (27) 0 6,200 1,473
29123 Office ‐ Tresillian CC 13,823 12,702 (1,121) 550 25,400 11,027
29125 Depreciation ‐ Tresillan CC 351 402 51 0 800 449
29127 Finance ‐ Tresillan CC 46,429 47,202 773 0 94,403 47,974
29130 Other ‐ Tresillan CC 5,292 6,252 960 0 12,500 7,208
29136 Courses ‐ Tresillan CC 100,325 100,254 (71) 1,966 200,500 98,209
29137 Donations ‐ Tresillan CC 0 0 0 0 0 0
Item 13.3 - Attachment 1
29150 Exhibition 1,834 3,552 1,718 149 7,100 5,118
Expense Total 299,613 295,112 (4,501) 2,664 586,998 284,721
Income
59101 Fees & Charges ‐ Tresillan CC (189,171) (180,996) 8,175 0 (362,000) (172,829)
59109 Council Property ‐ Tresillan CC (15,701) (14,250) 1,451 0 (28,500) (12,799)
Income Total (204,872) (195,246) 9,626 0 (390,500) (185,628)
Tresillian Community Centre Total 94,741 99,866 5,125 2,664 196,498 99,093
Community Development Total 521,867 609,339 87,472 60,636 1,241,974 659,471
Community Services Centres
Nedlands Community Care
Expense
28620 Salaries ‐ NCC 392,503 457,536 65,033 0 915,042 522,539
28621 Other Employee Costs ‐ NCC 3,797 13,500 9,703 209 27,000 22,994
28623 Office ‐ NCC 2,215 5,754 3,539 483 11,500 8,803
28624 Motor Vehicles ‐ NCC 53,584 58,500 4,916 0 117,000 63,416
28625 Depreciation ‐ NCC 13,773 20,604 6,831 0 41,200 27,427
28626 Utility ‐ NCC 2,157 2,052 (105) 0 4,100 1,943
28627 Finance ‐ NCC 149,700 149,682 (18) 0 299,363 149,663
28630 Other ‐ NCC 19,668 37,812 18,144 6,161 75,600 49,771
28635 ICT Expenses ‐ NCC 2,431 5,754 3,323 0 11,500 9,069
28664 Hacc Unit Cost ‐ NCC / PC66 (0) 0 0 0 0 0
Expense Total 639,827 751,194 111,367 6,853 1,502,305 855,625
Income
58601 Fees & Charges ‐ NCC (45,559) (43,014) 2,545 0 (86,000) (40,441)
58604 Grants Operating ‐ NCC (580,393) (516,462) 63,931 0 (1,032,900) (452,507)
58610 Sundry Income ‐ NCC 0 (1,002) (1,002) 0 (2,000) (2,000)
58615 Profit Sale of Assets ‐ NCC (4,182) 0 4,182 0 0 4,182
Income Total (630,134) (560,478) 69,656 0 (1,120,900) (490,766)
Nedlands Community Care Total 9,693 190,716 181,023 6,853 381,405 364,859
Positive Ageing
Expense
27420 Salaries ‐ Positive Ageing 24,945 23,406 (1,539) 0 46,813 21,868
27421 Other Employee Costs ‐ Positive Ageing 608 1,700 1,092 0 2,700 2,092
27427 Finance ‐ Positive Ageing 11,760 11,760 0 0 23,516 11,756
28437 Donations ‐ Positive Ageing 2,706 3,000 294 965 6,000 2,329
28450 Other ‐ Positive Ageing 8,008 8,100 92 180 16,200 8,012
Expense Total 48,026 47,966 (60) 1,145 95,229 46,057
Income
58420 Fees & Charges ‐ Positive Ageing (13,751) (7,002) 6,749 0 (14,000) (249)
58423 Grants Operating ‐ Positive Ageing 0 (250) (250) 0 (500) (500)
Income Total (13,751) (7,252) 6,499 0 (14,500) (749)
Positive Ageing Total 34,276 40,714 6,438 1,145 80,729 45,308
Point Resolution Child Care
Expense
28820 Salaries ‐ PRCC 252,670 240,650 (12,020) 0 481,301 228,631
28821 Other Employee Costs ‐ PRCC 6,514 9,700 3,186 645 13,100 5,941
28823 Office ‐ PRCC 3,247 4,404 1,157 322 8,800 5,231
28824 Motor Vehicles ‐ PRCC 4,140 4,002 (138) 0 8,000 3,860
28825 Depreciation ‐ PRCC 538 150 (388) 0 300 (238)
28826 Utility ‐ PRCC 4,140 3,500 (640) 0 7,000 2,860
28827 Finance ‐ PRCC 47,330 46,008 (1,322) 0 92,019 44,689
28830 Other ‐ PRCC 2,435 10,548 8,114 0 21,100 18,666
28835 ICT Expenses ‐ PRCC 1,410 2,100 690 0 4,200 2,790
28850 Special Projects ‐ PRCC 637 0 (637) 0 0 (637)
Expense Total 323,060 321,062 (1,998) 967 635,820 311,793
Income
58801 Fees & Charges ‐ PRCC (303,198) (306,000) (2,802) 0 (612,000) (308,802)
Income Total (303,198) (306,000) (2,802) 0 (612,000) (308,802)
Point Resolution Child Care Total 19,862 15,062 (4,800) 967 23,820 2,991
Mt Claremont Library
Expense
28523 Office ‐ Mt Claremont Library 5,124 5,502 378 693 11,000 5,183
28525 Depreciation ‐ Mt Claremont Library 0 252 252 0 500 500
28527 Finance ‐ Mt Claremont Library 20,160 20,184 24 0 40,371 20,211
28530 Other ‐ Mt Claremont Library 14,465 17,850 3,385 6,386 35,700 14,849
28535 ICT Expenses ‐ Mt Claremont Library 9,266 6,696 (2,570) 0 13,400 4,134
28549 Loss Sale of Assets ‐ Mt Claremont Library 0 0 0 0 0 0
Expense Total 49,015 50,484 1,469 7,078 100,971 44,877
Income
58501 Fees & Charges ‐ Mt Claremont Library (346) (252) 94 0 (500) (154)
58510 Sundry Income ‐ Mt Claremont Library (270) (102) 168 0 (200) 70
58511 Fines & Penalties ‐ Mt Claremont Library (237) (252) (15) 0 (500) (263)
Income Total (853) (606) 247 0 (1,200) (347)
Mt Claremont Library Total 48,163 49,878 1,715 7,078 99,771 44,530
Item 13.3 - Attachment 1
Nedlands Library
Expense
28720 Salaries ‐ Library Services 461,805 490,056 28,251 0 980,111 518,306
28721 Other Employee Costs ‐ Library Services 21,833 22,050 217 0 33,000 11,167
28723 Office ‐ Nedlands Library 21,636 22,746 1,110 1,466 45,500 22,398
28724 Motor Vehicles ‐ Nedlands Library 8,568 9,150 582 0 18,300 9,732
28725 Depreciation ‐ Nedlands Library 5,997 3,150 (2,847) 0 6,300 303
28727 Finance ‐ Nedlands Library 236,520 236,502 (18) 0 473,005 236,485
28730 Other ‐ Nedlands Library 43,522 70,998 27,476 8,492 142,000 89,986
28731 Grants Expenditure ‐ Nedlands Library 1,200 1,002 (198) 0 2,000 800
28734 Professional Fees ‐ Nedlands Library 0 600 600 0 1,200 1,200
28735 ICT Expenses ‐ Nedlands Library 26,285 17,856 (8,429) 0 35,700 9,415
28750 Special Projects ‐ Nedlands Library 0 1,548 1,548 0 3,100 3,100
Expense Total 827,364 875,658 48,294 9,958 1,740,216 902,893
Income
58701 Fees & Charges ‐ Nedland Library (3,894) (2,502) 1,392 0 (5,000) (1,106)
58704 Grants Operating ‐ Nedlands Library (1,200) (996) 204 0 (2,000) (800)
58710 Sundry Income ‐ Nedlands Library (4,117) (3,252) 865 0 (6,500) (2,383)
58711 Fines & Penalties ‐ Nedlands Library (2,167) (1,752) 415 0 (3,500) (1,333)
Income Total (11,379) (8,502) 2,877 0 (17,000) (5,621)
Nedlands Library Total 815,985 867,156 51,171 9,958 1,723,216 897,272
Community Services Centres Total 927,979 1,163,526 235,547 26,003 2,308,941 1,354,960
Community Development Total 1,449,846 1,772,865 323,019 86,639 3,550,915 2,014,430
Planning & Development Services
Planning Services
Town Planning ‐ Administration
Expense
24820 Salaries ‐ Town Planning Admin 49,804 50,220 416 0 100,439 50,635
24821 Other Employee Costs‐Town Planning Admin 26,869 31,800 4,931 0 51,400 24,531
24823 Office ‐ Town Planning Admin 1,492 5,502 4,010 499 11,000 9,009
24824 Motor Vehicles ‐ Town Planning Admin 20,694 24,000 3,306 0 48,000 27,306
24825 Depreciation ‐ Town Planning Admin 260 300 40 0 600 340
24827 Finance ‐ Town Planning Admin 196,560 196,584 24 0 393,170 196,610
24830 Other ‐ Town Planning Admin 125 4,500 4,375 0 9,000 8,875
24862 Statutory Projects ‐ Town Planning 0 3,000 3,000 0 6,000 6,000
Expense Total 295,805 315,906 20,101 499 619,609 323,305
Income
54801 Fees & Charges ‐ Town Planning Admin (179,296) (200,498) (21,202) 0 (401,000) (221,704)
54811 Fines & Penalties ‐ Town Planning (1,000) 0 1,000 0 (1,000) 0
Income Total (180,296) (200,498) (20,202) 0 (402,000) (221,704)
Town Planning ‐ Administration Total 115,509 115,408 (101) 499 217,609 101,601
Statutory Planning
Expense
24320 Salaries ‐ Statutory Planning 197,546 188,354 (9,192) 0 376,704 179,158
24321 Other Employee Costs ‐ Statutory Planning 377 4,200 3,823 0 8,400 8,023
24334 Professional Fees ‐ Statutory Planning 33,743 25,002 (8,741) 23,742 50,000 (7,485)
Expense Total 231,667 217,556 (14,111) 23,742 435,104 179,696
Statutory Planning Total 231,667 217,556 (14,111) 23,742 435,104 179,696
Strategic Planning
Expense
24857 Strategic Projects ‐ Strategic Planning 20,249 84,000 63,751 25,271 168,000 122,479
24920 Salaries ‐ Strategic Planning 226,364 233,700 7,336 0 467,397 241,033
24921 Other Employee Costs ‐ Strategic Planning 2,232 3,798 1,566 0 7,600 5,368
24934 Professional Fees ‐ Strategic Planning 13,719 4,998 (8,721) 3,936 10,000 (7,656)
Expense Total 262,564 326,496 63,932 29,208 652,997 361,225
Strategic Planning Total 262,564 326,496 63,932 29,208 652,997 361,225
Planning Services Total 609,740 659,460 49,720 53,448 1,305,710 642,522
Health & Compliance
Sustainability
Expense
24620 Salaries ‐ Sustainability 45,676 38,556 (7,120) 0 77,120 31,444
24621 Other Employee Costs ‐ Sustainability 963 1,100 137 0 1,100 137
24624 Motor Vehicles ‐ Sustainablility 9,577 5,598 (3,979) 0 11,200 1,623
24625 Depreciation ‐ Sustainablility 752 798 46 0 1,600 848
24627 Finance ‐ Sustainablility 5,760 5,748 (12) 0 11,496 5,736
24630 Other ‐ Sustainablility 421 0 (421) 0 0 (421)
24638 Operational Activities ‐ Sustainability / PC79 10,165 30,997 20,832 0 42,500 32,335
Expense Total 73,315 82,797 9,482 0 145,016 71,701
Income
54610 Sundry Income ‐ Sustainablility 0 (498) (498) 0 (1,000) (1,000)
Income Total 0 (498) (498) 0 (1,000) (1,000)
Sustainability Total 73,315 82,299 8,984 0 144,016 70,701
Environmental Health
Item 13.3 - Attachment 1
Expense
24720 Salaries ‐ Environmental Health 228,734 214,658 (14,076) 0 429,310 200,576
24721 Other Employee Costs ‐ Environmental Health 15,215 17,240 2,025 0 28,800 13,585
24723 Office ‐ Environmental Health 278 1,296 1,018 0 2,600 2,322
24724 Motor Vehicles ‐ Environmental Health 0 4,200 4,200 0 8,400 8,400
24725 Depreciation ‐ Environmental Health 1,970 2,052 82 0 4,100 2,130
24727 Finance ‐ Environmental Health 72,720 72,732 12 0 145,465 72,745
24730 Other ‐ Environmental Health 190 18,252 18,062 32,652 36,500 3,658
24734 Professional Fees ‐ Environmental Health 0 15,000 15,000 0 30,000 30,000
24735 ICT Expenses ‐ Environmental Health 0 1,002 1,002 0 2,000 2,000
24751 OPRL Activities ‐ Environmental Health PC76,77,7 50,729 43,500 (7,229) 7,091 80,200 22,380
Expense Total 369,836 389,932 20,096 39,743 767,375 357,796
Income
54701 Fees & Charges ‐ Environmental Health (31,219) (22,500) 8,719 0 (45,000) (13,781)
54710 Sundry Income ‐ Environmental Health 0 (1,002) (1,002) 0 (2,000) (2,000)
54711 Fines & Penalties ‐ Environmental Health (2,053) (13,248) (11,195) 0 (26,500) (24,447)
Income Total (33,272) (36,750) (3,478) 0 (73,500) (40,228)
Environmental Health Total 336,563 353,182 16,619 39,743 693,875 317,569
Environmental Conservation
Expense
24221 Other Employee Costs ‐ Environmental Conservat 254 2,000 1,746 181 4,000 3,566
24223 Office ‐ Environmental Conservation 1,826 500 (1,326) 0 1,000 (826)
24227 Finance ‐ Environmental Conservation 35,760 35,784 24 0 71,568 35,808
24230 Other ‐ Environmental Conservation 980 850 (130) 0 1,700 720
24237 Donations ‐ Environmental Conservation 0 850 850 0 1,700 1,700
24251 Operational Activities‐Environ Conservation / PC8 310,634 315,892 5,258 92,118 631,785 229,033
Expense Total 349,454 355,876 6,422 92,299 711,753 270,000
Income
54204 Grants Operating ‐ Environmental Conservation (30,713) (15,000) 15,713 0 (30,000) 713
54210 Sundry Income ‐ Environmental Conservation (6,356) (8,800) (2,444) 0 (8,800) (2,444)
Income Total (37,069) (23,800) 13,269 0 (38,800) (1,731)
Environmental Conservation Total 312,385 332,076 19,691 92,299 672,953 268,269
Ranger Services
Expense
21120 Salaries ‐ Ranger Services 305,915 305,616 (299) 0 611,241 305,326
21121 Other Employee Costs ‐ Ranger Services 11,840 13,156 1,316 411 19,200 6,948
21123 Office ‐ Ranger Services 5,736 5,646 (90) 33 11,300 5,531
21124 Motor Vehicles ‐ Ranger Services 24,647 31,000 6,353 0 62,000 37,353
21125 Depreciation ‐ Ranger Services 2,498 2,052 (446) 0 4,100 1,602
21127 Finance ‐ Ranger Services 110,222 117,747 7,525 0 235,491 125,269
21130 Other ‐ Ranger Services 19,233 73,552 54,319 7,204 84,300 57,863
21134 Professional Fees ‐ Ranger Services 4,540 2,502 (2,038) 865 5,000 (405)
21135 ICT Expenses ‐ Ranger Services 0 7,500 7,500 0 15,000 15,000
21137 Donations ‐ Ranger Services 1,000 1,000 0 0 1,000 0
Expense Total 485,630 559,771 74,141 8,513 1,048,632 554,489
Income
51101 Fees & Charges ‐ Ranger Services (44,336) (42,252) 2,084 0 (83,500) (39,164)
51106 Contributions & Reimbursements‐ Rangers Servic (27,420) (30,000) (2,580) 0 (30,000) (2,580)
51110 Sundry Income ‐ Ranger Services (500) 0 500 0 (2,500) (2,000)
51111 Fines & Penalties ‐ Rangers Services (196,702) (183,498) 13,204 0 (367,000) (170,298)
Income Total (268,958) (255,750) 13,208 0 (483,000) (214,042)
Ranger Services Total 216,672 304,021 87,349 8,513 565,632 340,447
Health & Compliance Total 938,935 1,071,578 132,643 140,554 2,076,476 996,986
Building Services
Building Services
Expense
24420 Salaries ‐ Building Services 352,419 365,430 13,011 0 730,869 378,450
24421 Other Employee Costs ‐ Building Services 21,031 27,149 6,118 0 44,300 23,269
24423 Office ‐ Building Services 3,123 2,504 (619) 320 5,000 1,557
24424 Motor Vehicles ‐ Building Services 14,199 12,798 (1,401) 0 25,600 11,401
24425 Depreciation ‐ Building Services 121 150 29 0 300 179
24427 Finance ‐ Building Services 158,520 158,502 (18) 0 317,006 158,486
24430 Other ‐ Building Services 12,115 1,002 (11,113) 0 2,000 (10,115)
24434 Professional Fees ‐ Building Services 16,086 30,000 13,914 3,453 60,000 40,462
Expense Total 577,614 597,535 19,921 3,773 1,185,075 603,688
Income
54401 Fees & Charges ‐ Building Services (301,670) (323,848) (22,178) 0 (491,600) (189,930)
54410 Sundry Income ‐ Building Services (42,224) (49,998) (7,774) 0 (100,000) (57,776)
54411 Fines & Penalties ‐ Building Services (561) (8,502) (7,941) 0 (17,000) (16,439)
Income Total (344,455) (382,348) (37,893) 0 (608,600) (264,145)
Building Services Total 233,158 215,187 (17,971) 3,773 576,475 339,544
Building Services Total 233,158 215,187 (17,971) 3,773 576,475 339,544
Planning & Development Services Total 1,781,833 1,946,225 164,392 197,775 3,958,661 1,979,052
Item 13.3 - Attachment 1
Technical Services
Engineering
Infrastructure Services
Expense
26220 Salaries ‐ Infrastructure Svs 1,074,700 1,071,124 (3,576) 0 2,142,237 1,067,537
26221 Other Employee Costs ‐ Infrastructure Svs 100,467 112,950 12,483 11,854 175,300 62,979
26223 Office ‐ Infrastructure Svs 17,480 21,996 4,516 5,234 44,000 21,286
26224 Motor Vehicles ‐ Infrastructure Svs 28,048 43,050 15,002 0 86,100 58,052
26225 Depreciation ‐ Infrastructure Svs 5,856 5,748 (108) 0 11,500 5,644
26227 Finance ‐ Infrastructure Svs (1,034,526) (1,254,202) (219,676) 0 (2,508,406) (1,473,880)
26228 Insurance ‐ Infrastructure Svs 65,277 67,600 2,323 0 67,600 2,323
26230 Other ‐ Infrastructure Svs 8,109 37,500 29,391 935 75,000 65,957
26234 Professional Fees ‐ Infrastructure Svs 48,958 66,252 17,294 1,502 132,500 82,040
26235 ICT Expenses ‐ Infrastructure Svs 5,244 7,674 2,430 1,355 15,340 8,741
36101 Project Contribution ‐ Infrastructure 0 403,000 403,000 4,005,000 5,053,000 1,048,000
Expense Total 319,612 582,692 263,080 4,025,881 5,294,171 948,678
Income
56201 Fees & Charges ‐ Infrastructure Svs 0 0 0 0 0 0
Income Total 0 0 0 0 0 0
Infrastructure Services Total 319,612 582,692 263,080 4,025,881 5,294,171 948,678
Plant Operating
Expense
26525 Depreciation ‐ Plant Operating 261,902 472,952 211,050 0 945,900 683,998
26527 Finance ‐ Plant Operating (628,331) (772,750) (144,419) 0 (1,545,500) (917,169)
26532 Plant ‐ Plant Operating 357,400 356,252 (1,148) 32,426 674,600 284,774
26533 Minor Parts & Workshop Tools ‐ Plant Operating 10,911 19,500 8,589 2,212 39,000 25,877
26549 Loss Sale of Assets ‐ Plant Operating 21,809 14,949 (6,860) 0 29,900 8,091
Expense Total 23,691 90,903 67,212 34,638 143,900 85,571
Income
56501 Fees & Charges ‐ Plant Operating (24,393) (50,000) (25,607) 0 (50,000) (25,607)
56510 Sundry Income ‐ Plant operating (32,782) 0 32,782 0 0 32,782
56515 Profit Sale of Assets ‐ Plant Operating (38,554) (15,051) 23,503 0 (30,100) 8,454
Income Total (95,729) (65,051) 30,678 0 (80,100) 15,629
Plant Operating Total (72,037) 25,852 97,889 34,638 63,800 101,200
Streets Roads and Depots
Expense
26625 Depreciation ‐ Streets Roads & Depots 1,790,180 1,539,496 (250,684) 0 3,079,000 1,288,820
26626 Utility ‐ Streets Roads & Depots 203,868 265,350 61,482 2,158 530,700 324,675
26630 Other 1,436 15,006 13,570 0 30,000 28,564
26640 Reinstatement ‐ Streets Roads & Depot 361 5,604 5,243 0 11,200 10,839
26667 Road Maintenance / PC51 434,091 350,000 (84,091) 11,959 700,000 253,950
26668 Drainage Maintenance / PC52 164,475 264,998 100,523 93,265 530,000 272,260
26669 Footpath Maintenance / PC53 94,764 105,654 10,890 8,921 211,300 107,616
26670 Parking Signs / PC54 51,427 45,000 (6,427) 1,735 90,000 36,839
26671 Right of Way Maintenance / PC55 47,099 45,000 (2,099) 0 90,000 42,902
26672 Bus Shelter Maintenance / PC56 8,756 4,998 (3,758) 1,310 10,000 (66)
26673 Graffiti Control / PC57 6,013 10,002 3,989 1,159 20,000 12,828
26674 Streets Roads & Depot / PC89 91,568 75,000 (16,568) 40,341 150,000 18,092
26627 Finance ‐ Streets Roads & Depots 100 0 (100) 0 0 (100)
Expense Total 2,894,136 2,726,108 (168,028) 160,847 5,452,200 2,397,218
Income
56601 Fees & Charges ‐ Streets Roads & Depots (35,541) (77,000) (41,459) 0 (77,000) (41,459)
56604 Grants Operating ‐ Streets Roads & Depots (39,402) (65,000) (25,598) 0 (65,000) (25,598)
56606 Contributions & Reimburse ‐ Streets Roads & Dep (26,063) (20,000) 6,063 0 (20,000) 6,063
56610 Sundry Income ‐ Streets Roads & Depots (1,227) (1,000) 227 0 (1,000) 227
56611 Fines and Penalties ‐ Streets Roads & Depots (1,100) 0 1,100 0 0 1,100
Income Total (103,333) (163,000) (59,667) 0 (163,000) (59,667)
Streets Roads and Depots Total 2,790,803 2,563,108 (227,695) 160,847 5,289,200 2,337,550
Waste Minimisation
Expense
24520 Salaries ‐ Waste Minimisation 127,817 119,178 (8,639) 0 238,359 110,542
24521 Other Employee Costs ‐ Waste Minimisation 5,463 3,650 (1,813) 0 4,500 (963)
24524 Motor Vehicles ‐ Waste Minimisation 4,637 4,452 (185) 0 8,900 4,263
24525 Depreciation ‐ Waste Minimisation 0 22,398 22,398 0 44,800 44,800
24527 Finance ‐ Waste Minimisation 84,374 84,348 (26) 0 168,694 84,320
24538 Purchase of Product ‐ Waste Minimisation 1,572 1,998 426 225 4,000 2,204
24552 Residental Kerbside ‐ Waste Minimisation / PC71 804,496 923,300 118,804 1,365,184 1,846,600 (323,080)
24553 Residental Bulk ‐ Waste Minimisation / PC72 70,258 224,550 154,292 109,851 449,100 268,991
24554 Commercial ‐ Waste Minimisation / PC73 37,015 47,850 10,835 79,494 95,700 (20,809)
24555 Public Waste ‐ Waste Minimisation / PC74 35,373 50,244 14,871 64,181 100,500 946
24556 Waste Strategy ‐ Waste Minimisation / PC75 12,578 55,698 43,120 54,877 111,400 43,946
Expense Total 1,183,583 1,537,666 354,083 1,673,812 3,072,553 215,158
Income
54501 Fees & Charges ‐ Waste Minimisation (3,299,402) (3,302,304) (2,902) 0 (3,317,800) (18,398)
Item 13.3 - Attachment 1
Income Total (3,299,402) (3,302,304) (2,902) 0 (3,317,800) (18,398)
Waste Minimisation Total (2,115,820) (1,764,638) 351,182 1,673,812 (245,247) 196,761
Building Maintenance
Expense
24120 Salaries ‐ Building Maintenance 180,351 173,370 (6,981) 0 346,738 166,387
24121 Other Employee Costs ‐ Building Maintenance 7,086 7,796 710 155 12,400 5,160
24123 Office ‐ Building Maintenance 1,800 552 (1,248) 0 1,100 (700)
24124 Motor Vehicles ‐ Building Maintenance 18,251 18,000 (251) 0 36,000 17,749
24125 Depreciation ‐ Building Maintenance 364,628 981,100 616,472 0 1,962,200 1,597,572
24126 Utility ‐ Building Maintenance PC41,42,43 115,688 128,295 12,607 (431) 256,600 141,342
24127 Finance ‐ Building Maintenance 111,180 111,174 (6) 0 222,348 111,168
24128 Insurance ‐ Building Maintenance PC40 56,504 63,800 7,296 0 63,800 7,296
24130 Other ‐ Building Maintenance 6,003 1,998 (4,005) 0 4,000 (2,003)
24133 Building ‐ Building Maintenance PC58 564,774 703,134 138,360 283,530 1,407,900 559,596
Expense Total 1,426,265 2,189,219 762,954 283,254 4,313,086 2,603,567
Income
54106 Contributions & Reimbursement ‐ Building Mainte (46,249) (25,248) 21,001 0 (50,500) (4,251)
54109 Council Property ‐ Building Maintenance (137,767) (159,936) (22,169) 0 (319,880) (182,113)
Income Total (184,016) (185,184) (1,168) 0 (370,380) (186,364)
Building Maintenance Total 1,242,248 2,004,035 761,787 283,254 3,942,706 2,417,204
Engineering Total 2,164,806 3,411,049 1,246,243 6,178,431 14,344,630 6,001,392
Parks Services
Parks Services
Expense
26360 Depreciation ‐ Parks Services 414,231 359,198 (55,033) 0 718,400 304,169
26365 Maintenance ‐ Parks Services / PC59 1,937,751 2,333,622 395,871 285,947 4,443,900 2,220,202
Expense Total 2,351,982 2,692,820 340,838 285,947 5,162,300 2,524,371
Income
56301 Fees & Charges ‐ Parks & Ovals (413) 0 413 0 0 413
56306 Contributions & Reimbursements ‐ Parks Services (15,129) 0 15,129 0 (5,000) 10,129
56309 Council Property ‐ Parks Services (38,910) (31,006) 7,904 0 (62,000) (23,090)
56310 Sundry Income ‐ Parks Services (5,357) 0 5,357 0 0 5,357
56312 Fines & Penalties ‐ Parks & Ovals 0 0 0 0 0 0
Income Total (59,810) (31,006) 28,804 0 (67,000) (7,191)
Parks Services Total 2,292,172 2,661,814 369,642 285,947 5,095,300 2,517,180
Parks Services Total 2,292,172 2,661,814 369,642 285,947 5,095,300 2,517,180
Technical Services Total 4,456,979 6,072,863 1,615,884 6,464,378 19,439,930 8,518,573
City of Nedlands Total (14,694,621) (11,428,355) 3,266,266 6,889,196 6,736,435 14,541,860
Item 13.3 - Attachment 1
L1 L1 Desc / NumL2 ‐ Desc
December
Actual YTD
Committed
Balance
June Budget
YTD
Budget
Available
2 Footpath Rehabilitation
2030 Beatrice Road 0 0 73,710 73,710
2500 Stirling Hwy ‐ CF Taylor to Vincent 4 sections 571,139 0 580,800 9,661
2452 School Sports Facility 0 0 95,550 95,550
2044 Leon Road 34,458 0 33,646 ‐812
600 Princess Rd ‐ Marita to Broadway LHS 455 688 178,100 176,957
601 Princess Rd ‐ Kingsway to Broadway RHS 0 0 16,900 16,900
602 Stirling Hwy ‐ Thomas to Archdeacon Sth 0 0 178,120 178,120
603 Stirling Hwy ‐ Archdeacon to Bruce Sth 0 0 82,450 82,450
Footpath Rehabilitation Total 606,052 688 1,239,276 632,536
3 Road Rehabilitation
2028 Dalkeith Road 154,913 0 259,740 104,827
2038 Jenkins Ave 0 2,948 215,280 212,332
2189 Adams Road 156,395 0 161,000 4,605
2174 Sayer Street 0 778 104,790 104,012
2081 Browne Avenue 491,981 647 539,150 46,522
2127 Gunn Street 136,054 0 137,305 1,251
2188 Iris Avenue 146,461 0 154,700 8,239
2094 Birkdale Street 0 219,201 423,020 203,819
2098 Shann Street 0 292,799 562,250 269,451
2305 Bee Eater Lane 0 0 75,010 75,010
Road Rehabilitation Total 1,085,804 516,373 2,632,245 1,030,068
4 Drainage Rehabilitation
2024 Carrington Street 0 0 260,000 260,000
2190 Riverview Ct 0 0 45,000 45,000
2226 Waratah Place 15,655 0 33,400 17,745
2050 Strickland Street 124,449 5,432 139,000 9,119
Drainage Rehabilitation Total 140,103 5,432 477,400 331,865
5 Street Furniture / Bus Shelter
4057 Beaton Park 0 0 111,500 111,500
9000 City Wide 0 0 70,200 70,200
Street Furniture / Bus Shelter Total 0 0 181,700 181,700
6 Grant Funded Projects
2003 Alfred Road 1,105 0 3,628 2,523
2012 Waratah Avenue 0 0 205,000 205,000
2401 INTXN Brockway/Brookdale/Underwood ‐ UG & safety 533,115 194,300 762,783 35,368
2403 INTXN Gugeri St/Railway Rd/Loch St 273,632 0 331,569 57,937
2290 Quintilian Road 0 38,306 92,000 53,694
2409 INTXN‐ Smyth Road/Monash Avenue 986 2,273 250,000 246,741
400 Brockway Rd ‐ Underwood to Lemnos 0 0 724,700 724,700
401 INTXN Brockway/Underwood ‐ Boundary Rd resurfacing 193,209 0 189,500 ‐3,709
Grant Funded Projects Total 1,002,048 234,879 2,559,180 1,322,253
11 Building Construction
4001 Kirkwood Rd ‐ Allen Park Lower Pavilion 6,240 0 0 ‐6,240
4003 Broome St ‐ Council Depot 23,121 ‐423 154,005 131,307
4005 Drabble House Flat ‐ 8A Webster St 0 0 39,000 39,000
4006 2 Draper St ‐ Hackett Playcentre 1,023 ‐730 30,000 29,708
4007 140 Melvista Ave ‐ JC Smith Pavilion 88,116 0 78,000 ‐10,116
4008 60 Stirling Hwy ‐ Nedlands Library 25,440 2,750 31,200 3,010
4009 53 Jutland Pde ‐ PRCC 19,180 2,764 84,500 62,556
4010 97 Wartah Ave ‐ NCC 15,895 3,727 22,100 2,478
4011 105 Montgomery Ave ‐ MTC Library 0 0 19,500 19,500
4018 21 Tyrell St ‐ Tresillian 4,081 2,213 45,500 39,206
4019 84 Beatrice Rd ‐ Adam A. Pavilion (Collegians AFC) 32,894 0 33,320 426
4020 71 Stirling Hwy ‐ Administration Bldg 2,488 1,949 84,500 80,063
4022 Public Toilets/Changerooms 7,030 0 26,000 18,970
4025 61 Clement St ‐ Allen Park Tennis Club 0 0 42,715 42,715
4052 Allen Park (Master Plan) 48,126 0 255,640 207,514
4053 42 Smyth Rd ‐ Hollywood Subiaco Bowling 0 0 13,000 13,000
CITY OF NEDLANDSCAPITAL WORKS & ACQUISITIONS
AS AT 31 DECEMBER 2017
Project Costing Financial Summary
Item 13.3 - Attachment 2
4101 Melvista Reserve 0 ‐1,161 0 1,161
4108 Alfred Rd/Montgomery Ave ‐ MTC Oval 2,942 0 0 ‐2,942
4201 John XXIII Ave ‐ Council Depot 1,960 4,500 25,000 18,540
9000 City Wide 0 15,385 65,000 49,615
Building Construction Total 278,536 30,974 1,048,980 739,470
12 Off Street Parking
402 Beaton Park ‐ Car park stage 2 94,288 30,671 286,000 161,041
404 Hollywood Bowling C ‐ UG fence & resurfacing 0 101,435 130,000 28,565
Off Street Parking Total 94,288 132,105 416,000 189,606
14 Parks & Reserves Construction
4051 Administration Surrounds 1,092 0 9,620 8,528
4052 Allen Park 10,293 0 10,140 ‐153
4055 Asquith Park 0 0 278,200 278,200
4060 Birdwood Parade Reserve 0 0 17,420 17,420
4061 Bishop Road Reserve 1,092 0 3,250 2,158
4064 Brockman Reserve 0 11,617 10,400 ‐1,217
4078 Daran Park 0 12,309 17,810 5,501
4082 Dott Bennett Park 2,363 0 14,430 12,067
4083 Sunset Foreshore 49,231 0 50,400 1,169
4089 Hamilton Park 0 9,048 11,570 2,522
4094 Jones Park 0 482 15,340 14,859
4101 Melvista Reserve 0 0 35,750 35,750
4128 Shirley Fyfe Park 0 13,404 24,830 11,426
4137 Swanbourne Beach Reserve 6,061 0 6,160 99
4169 River Wall Restoration 7,221 24,074 877,800 846,505
4300 Bore Installation MTC G/Water Monitoring 24,500 0 20,000 ‐4,500
700 Beaton Park ‐ Irrigation upgrade 11,528 49,188 106,400 45,684
701 Beaton Park ‐ R bollard lighing 371 0 56,300 55,929
702 Charles Ct Rsv ‐ R fencing to bollard 0 0 53,170 53,170
703 Charles Ct Rsv ‐ R boomgate 0 3,455 4,940 1,485
704 Charles Ct Rsv ‐ R rugby goals x2 23,615 0 31,980 8,365
705 Charles Ct Rsv ‐ R park sign 6,160 0 8,710 2,550
706 College Park ‐ R security lights 0 3,920 12,870 8,950
707 College Park ‐ UG irrigation system 0 0 98,000 98,000
708 College Park ‐ R tennis court & nets x3 0 0 47,970 47,970
709 College Park ‐ R basketball tower 4,463 0 8,580 4,117
710 College Park ‐ UG fitness equipment 0 21,555 47,970 26,415
712 David C Rsv ‐ R cricket nets 0 0 47,970 47,970
713 David C Rsv ‐ Construct internal DUP 107,607 0 65,910 ‐41,697
714 David C Rsv ‐ INST dry climate planting 36,623 19,690 31,500 ‐24,813
715 David C Rsv ‐ UG irrigation system 242,525 1,797 360,500 116,178
716 Lesley Graham Rsv ‐ Renew garden beds 0 0 24,050 24,050
717 Lesley Graham Rsv ‐ INST new bore & pump 46,799 0 46,900 101
718 Mt Claremont Rsv ‐ UG 2 eroded paths 0 0 120,900 120,900
719 Mt Claremont Rsv ‐ INST basketball fence 13,461 0 12,870 ‐591
720 Ned Library S ‐ R 32m section fence 0 2,455 3,900 1,445
721 Ned Library S ‐ R bollard light x 6 12,418 0 24,830 12,412
722 PM Rose Gdn ‐ R 230m fence to bollard 0 9,607 16,380 6,773
723 PM Rose Gdn ‐ R rose garden beds 1,790 0 15,990 14,200
724 Pt Res Rsv ‐ DVPT Greenway buffer S1 0 0 55,900 55,900
725 Pt Res Rsv ‐ Construct 710m DUP 0 0 47,060 47,060
726 River Fshore ‐ INST landscaping JL Pd 0 0 64,000 64,000
728 St John Wood Bv POS ‐ DVLP park 0 0 16,250 16,250
729 St John Wood Bv POS ‐ INST ctrl cabinet 1,268 0 232,100 230,832
Parks & Reserves Construction Total 610,482 182,599 3,067,020 2,273,938
15 Plant & Equipment
7500 Technical Svs ‐ Engineering 93,397 61,319 249,000 94,284
7501 Development Svs ‐ Town Planning 34,916 24,718 63,000 3,366
7502 Development Svs ‐ Building Svs 29,912 3,030 72,000 39,058
7505 Planning & Development Svs ‐ Ranger Svs 0 18,133 16,000 ‐2,133
7509 Technical Svs ‐ Parks Svs 132,543 19,623 307,000 154,834
7510 Governance ‐ Human Resources 0 0 38,000 38,000
7511 Community Svs ‐ Service Centres 35,562 5,572 106,000 64,867
7512 Community Svs ‐ Community Development 16,271 0 19,500 3,229
Plant & Equipment Total 342,601 132,394 870,500 395,505
16 ICT Capital Projects
Item 13.3 - Attachment 2
6039 Library System Software 0 0 70,000 70,000
6053 Hardware 0 0 52,100 52,100
6054 Sofware 0 0 80,000 80,000
6055 Mobility 3,361 0 10,000 6,639
ICT Capital Projects Total 3,361 0 212,100 208,739
17 Greenway Development
4122 Point Resolution Reserve ‐ Path Upgrade 1,747 5,149 0 ‐6,896
Greenway Development Total 1,747 5,149 0 ‐6,896
18 Furniture & Fixture
4010 97 Wartah Ave ‐ NCC 0 0 5,000 5,000
4020 71 Stirling Hwy ‐ Administration Bldg 11,641 0 0 ‐11,641
7505 Planning & Development Svs ‐ Ranger Svs 0 9,180 44,000 34,820
9000 City Wide 5,181 0 0 ‐5,181
Furniture & Fixture Total 16,822 9,180 49,000 22,998
20 Major Projects ‐ Parks
900 Beaton Park ‐ AAPS Stage 1 948,853 252,991 1,473,240 271,396
Major Projects ‐ Parks Total 948,853 252,991 1,473,240 271,396
City of Nedlands Total 5,130,699 1,502,765 14,226,641 7,593,177
Item 13.3 - Attachment 2
2017/18 2016/17YTD 31 December 2017 YTD 31 December 2016
Current AssetsCash & Cash Equivalents 17,990,648 19,497,957Receivable - Rates Outstanding 6,370,543 5,847,894Receivable - Sundry Debtor 476,562 340,588Receivable - Self Supporting Loan 6,460 15,966GST Receivable 109,399 181,811Prepayments 186,333 133,944Less: Provision for Doubtful Debts (1,170) (1,170)Inventories (9,320) 9,824
25,129,455 26,026,814
Current LiabilitiesPayable - Sundry Creditors (298,417) (268,018)Payable - ESL (1,583,347) (1,540,440)Accrued Salaries and Wages (192,884) (116,729)Staff Provisions (2,232,026) (2,020,845)Current Loan Liability (497,563) (475,274)Payroll Deductions 0 0Other 0 0
(4,804,237) (4,421,306)
Net Current Assets 20,325,218 21,605,508
Less: Restricted Reserves (4,572,023) (4,204,128)Less: Current Self Supporting Loan Liability (6,460) (15,966)Add Back: Current Loan Liability 497,563 475,274
16,244,298 17,860,688
CITY OF NEDLANDSNOTES TO THE STATEMENT OF FINANCIAL ACTIVITY
CLOSING FUNDSFOR THE PERIOD ENDING 31 DECEMBER 2017
14/02/2018 1:21 PM
Item 13.3 - Attachment 3
Note 2017-18 Dec 17 Dec 17 Dec 17Annual Budget YTD Budget YTD Actual YTD Variance Variance
$ $ $ $ %Operating IncomeGovernance 134,300 67,146 175,582 108,436 161.5%Corporate & Strategy 23,586,998 23,120,331 23,659,941 539,610 2.3%Community Development 2,384,600 1,209,392 1,319,431 110,039 9.1%Planning & Development Services 1,606,900 899,644 864,051 (35,593) -4.0%Technical Services 4,034,080 3,746,545 3,742,289 (4,256) -0.1%
31,746,878 29,043,058 29,761,294 718,236 2.5%
Operating ExpenseGovernance (2,788,871) (1,499,360) (1,365,276) 134,084 8.9%Corporate & Strategy (719,358) (467,809) (86,968) 380,841 81.4%Community Development (5,985,116) (2,982,257) (2,769,276) 212,981 7.1%Planning & Development Services (5,551,762) (2,845,869) (2,645,885) 199,984 7.0%Technical Services (23,438,211) (9,819,408) (8,199,268) 1,620,140 16.5%
(38,483,318) (17,614,703) (15,066,674) 2,548,029 14.5%
Capital IncomeGrants Capital 3,976,369 941,770Proceeds from Disposal of Assets 607,000 286,616New Borrowings 7,200,000 0Self Supporting Loan Principal Repayments 12,821 9,506Transfer from Reserve 1,782,300 0
13,578,490 1,237,892
Capital ExpenditureLand & Buildings (1,048,980) (252,361)Infrastructure - Road (6,605,801) (2,954,471)Infrastructure - Parks (5,440,260) (1,561,082)Plant & Equipment (870,500) (342,601)Furniture & Equipment (261,100) (20,183)Repayment of Debentures (983,843) (486,280)Transfer to Reserves (2,092,298) (55,393)
(17,302,782) (5,672,372)
Total Operating and Non-Operating (10,460,732) 10,260,141
Adjustment - Non Cash ItemsDepreciation 7,251,700 3,012,311Receivables/Provisions/Other Accruals 15,000 27,322(Profit) on Sale of Assets (30,100) (42,736)Loss on Sale of Assets 29,900 21,809ADD - Surplus/(Deficit) 1 July b/f 3,007,968 2,965,451LESS - Surplus/(Deficit) 30 June c/f (186,264) 16,244,298
10,460,732 (10,260,141)
CITY OF NEDLANDSSTATEMENT OF FINANCIAL ACTIVITY
BY DIRECTORATESFOR THE PERIOD ENDED 31 DECEMBER 2017
14/02/2018 1:26 PM
Item 13.3 - Attachment 4
Council Agenda 24 April 2018
40
13.4 Investment Report – December 2017
Council 27 April 2018 Applicant City of Nedlands Officer Vanaja Jayaraman – Manager Financial Services Director Lorraine Driscoll – Director Corporate & Strategy Attachments Investment Report for the period ended 31 December
2017 Executive Summary In accordance with the Council’s Investment Policy, Administration is required to present a summary of investments to Council on a monthly basis. Recommendation to Council Council receives the Investment Report for the period ended 31 December 2017. Discussion/Overview Council’s Investment of Funds report meets the requirements of Section 6.14 of the Local Government Act 1995. The Investment Policy of the City, which is reviewed each year by the Audit and Risk Committee of Council, is structured so as to minimise any risks associated with the City’s cash investments. The officers adhere to this Policy, and continuously monitor market conditions to ensure that the City obtains attractive and optimum yields without compromising on risk management. The policy is adhered to at the time of placing the term deposits to ensure that each financial institution has no more than 40% of the total term deposit. However, the term deposits in any one financial institution may become higher due to drawdown of the term deposits as and when required for cashflow purposes. The Investment Summary shows that as at 31 December 2017 the City held the following funds in investments: Municipal Funds $ 9,187,268.47 Reserve Funds $ 4,572,023.80 Total $ 13,759,292.27 The total interest earned from investments as at 31 December 2017 was $196,239.72
Council Agenda 24 April 2018
41
The Investment Portfolio comprises holdings in the following institutions:
Financial Institution Funds Invested Interest Rate Proportion of
Portfolio NAB $7,699,479.90 2.43% - 2.60% 55.96%
Westpac $4,139,982.17 2.44% - 2.75% 30.09%
ANZ
$325,514.04
2.50% 2.37%
CBA $1,594,316.16 0.6% - 2.38% 11.58%
Total $13,759,292.27 100.00%
Conclusion The Investment Report is presented to Council. Key Relevant Previous Council Decisions: Nil. Consultation Required by legislation: Yes No Required by City of Redlands policy: Yes No Budget/Financial Implications Investment income is steady as per budget.
55.96%30.09%
2.37% 11.59%
Portfolio Diversity
NAB Westpac ANZ CBA
Interest Invest. Maturity Period NAB Westpac ANZ CBA Interest
Particulars Rate Date Date Days *AA‐/Stable/A‐1+ *AA‐/Stable/A‐1+ *AA‐/Stable/A‐1+ *AA‐/Stable/A‐1+ Total YTD Accumulated
RESERVE INVESTMENTS
Plant Replacement 2.50% 11‐Nov‐17 11‐May‐18 181 152,058.31 152,058.31 $1,861.74
City Development ‐ Western Zone 2.38% 18‐Oct‐17 17‐Apr‐18 181 463,701.99 463,701.99 $5,431.25
North Street 2.46% 22‐Dec‐17 23‐Apr‐18 122 757,078.27 757,078.27 $9,344.98
Welfare ‐ General 2.36% 18‐Dec‐17 18‐Jun‐18 182 302,893.24 302,893.24 $3,547.91
Welfare ‐ NCC 2.36% 18‐Dec‐17 17‐Apr‐18 120 167,877.35 167,877.35 $1,967.93
Welfare ‐ PRCC 1.30% N/A N/A N/A 15,350.26 15,350.26 $50.69
Services ‐ Tawarri 1 2.46% 22‐Dec‐17 23‐Apr‐18 122 64,879.84 64,879.84 $800.84
Services General 2.60% 31‐Jul‐17 29‐Jan‐18 182 945,924.86 945,924.86 $12,109.13
Services ‐ Tawarri 2 2.50% 11‐Nov‐17 11‐May‐18 181 111,430.06 111,430.06 $1,364.31
Insurance 2.50% 11‐Nov‐17 11‐May‐18 181 62,025.67 62,025.67 $759.41
Waste Management 2.38% 18‐Oct‐17 17‐Apr‐18 181 486,239.14 486,239.14 $5,704.73
City Development ‐ Swanbourne 2.36% 18‐Dec‐17 18‐Jun‐18 182 127,736.94 127,736.94 $1,496.24
City Building ‐ General 2.46% 22‐Dec‐17 23‐Apr‐18 122 464,443.44 464,443.44 $5,732.84
City Building ‐ PRCC 1.30% N/A N/A N/A 25,501.96 25,501.96 $82.71
Business system Reserve 2.46% 27‐Dec‐17 27‐Apr‐18 121 101,248.94 101,248.94 $1,235.52
Public Art Reserves 2.46% 27‐Dec‐17 27‐Apr‐18 121 86,061.59 86,061.59 $1,050.18
Waste Management Reserve 2.46% 27‐Dec‐17 27‐Apr‐18 121 101,248.93 101,248.93 $1,235.51
City Development Reserve 2.46% 27‐Dec‐17 27‐Apr‐18 121 87,770.67 87,770.67 $1,071.04
Building Replacement Reserve 2.46% 27‐Dec‐17 27‐Apr‐18 121 43,537.04 43,537.04 $531.27
Welfare Serices 0.60% 31‐Dec‐17 31‐Jan‐18 31 5,015.29 5,015.29 $15.12
TOTAL RESERVE INVESTMENTS 2,652,193.59 0.00 325,514.04 1,594,316.16 4,572,023.80 $55,393.36
MUNICIPAL INVESTMENTS
Muni Investment NS31 2.75% 31‐Dec‐17 31‐Jan‐18 31 2,125,906.56 2,125,906.56 $26,681.66
Muni Investment #127 ‐ NAB 2.50% 18‐Aug‐17 18‐Jan‐18 153 1,009,246.58 1,009,246.58 $9,246.58
Muni Investment #131 ‐ ANZ 0.00 $6,175.34
Muni Investment #129 ‐ NAB‐CLOSED 0.00 $3,624.66
Muni Investment #142 ‐ CBA‐CLOSED 0.00 $3,119.39
Muni Investment #128 ‐ NAB 2.43% 19‐Jul‐17 19‐Jan‐18 184 1,010,984.93 1,010,984.93 $10,984.93
Muni Investment #130 ‐ ANZ 0.00 $6,257.61
Muni Investment #146 ‐ NAB 2.50% 23‐Aug‐17 23‐Feb‐18 184 2,017,808.22 2,017,808.22 $17,808.22
Muni Investment #147 ‐ WBC 2.44% 18‐Oct‐17 18‐Jan‐18 92 1,004,946.85 1,004,946.85 $4,946.85
Muni Investment #148 ‐ WBC 0.00 0.00 $3,238.63
Muni Investment #149 ‐ WBC 2.45% 17‐Aug‐17 19‐Feb‐18 186 1,009,128.77 1,009,128.77 $9,128.77
Muni Investment #150 ‐ ANZ 0.00 $8,354.77
Muni Investment #151 ‐ ANZ 0.00 $8,410.01
Muni Investment #152 ‐ NAB 2.50% 18‐Aug‐17 19‐Feb‐18 185 1,009,246.58 1,009,246.58 $9,246.58
Muni Investment #153 ‐ WBC 0.00 $3,024.66
Muni Investment #154 ‐ WBC 0.00 $2,432.88
Muni Investment #155 ‐ WBC 0.00 $1,630.68
Muni Investment #156 ‐ ANZ 0.00 $6,534.14
TOTAL MUNICIPAL INVESTMENTS 5,047,286.30 4,139,982.17 0.00 0.00 9,187,268.47 $140,846.36
TOTAL TOTAL 7,699,479.90 4,139,982.17 325,514.04 1,594,316.16 13,759,292.27 $196,239.72
* Credit Rating ‐ Source: Standard & Poor's
Proportion Portfolio 55.96% 30.09% 2.37% 11.59%
INVESTMENTS REPORT
FOR THE PERIOD ENDED 31 DECEMBER 2017
14/02/2018 1:48 PM
Council Agenda 24 April 2018
42
13.5 Monthly Financial Report – March 2018
Council 24 April 2018 Applicant City of Nedlands Officer Vanaja Jayaraman –Manager Financial Services Director Lorraine Driscoll – Director Corporate & Strategy Attachments 1. Financial Summary (Operating) by Business Units
– 31 March 20182. Capital Works & Acquisitions – 31 March 20183. Net Current Assets – 31 March 20184. Statement of Activity – 31 March 2018
Executive Summary
Administration is required to provide Council with a monthly financial report in accordance with Regulation 34(1) of the Local Government (Financial Management) Regulations 1996. The monthly financial variance from the budget of each business unit is reviewed with the respective manager and the Executive to identify the need for any remedial action. Significant variances are highlighted to Council in the attached Monthly Financial Report.
Recommendation to Council
Council receives the Monthly Financial Report for 31 March 2018.
Discussion/Overview
The monthly financial management report meets the requirements of Regulation 34(1) and 34(5) of the Local Government (Financial Management) Regulations 1996.
The monthly financial variance from the budget of each business unit is reviewed with the respective Manager and the Executive to identify the need for any remedial action. Significant variances are highlighted to Council in the Monthly Financial Report.
This report gives an overview of the year to date revenue and expenses of the City for the month of March together with a Net Assets Statement as at 31 March 2018.
The operating expenditure at the end of March 2018 was $24.67 M, which represents a $2.47 M favourable variance compared to the year-to-date budget.
The operating revenue at the end of March 2018 was $30.66 M which represents a $281k favourable variance compared to the year-to-date budget.
Council Agenda 24 April 2018
43
The attached Operating Statement compares “Actual” with “Budget” by Business Units. Variations from the budget of revenue and expenses by Directorates are highlighted in the following paragraphs. Governance Expenditure: Favourable variance of $ 207,314 Revenue: Favourable variance of $ 118,461 The favourable expenditure variance is mainly due to expenses not expended yet for special projects of $116k and other employee costs and Staff recruitment in Human Resource of $100k. The favourable revenue variance is due to the invoicing of the 2016/17 cost of WESROC projects invoiced to other Councils in July and income from Hollywood parking fees due to the extension of the contract. Corporate and Strategy Expenditure: Favourable variance of $ 501,136 Revenue: Favourable variance of $ 63,890 Favourable expenditure variance is mainly due to Customer Service and Finance salary and other employee cost savings of $234k due to vacancies not filled yet, and expenses not expended yet for special projects, professional fees and ICT Expenses of $183k. There is also cost savings in Depreciation of $33k and interest of $52k on loans have not been expended yet. Small Favourable revenue variance is due to higher interim rates income. Community Development and Services Expenditure: Favourable variance of $ 519,962 Revenue: Favourable variance of $ 13,510 The favourable expenditure variance is mainly due to a lower community development donation payment of $75k, community events yet to be organised of $65k. Savings and timing difference on other employee cost and salaries of $183k and savings on other expenses of $99k. Also, a small savings on Tresillian courses of $28k and savings on motor-vehicle and depreciation expenses of $28k. Planning and Development Expenditure: Favourable variance of $ 418,211 Revenue: Unfavourable variance of $(126,058)
Council Agenda 24 April 2018
44
The favourable expenditure variance is mainly due to savings in Strategic projects of $76k and other operational activities of Sustainability, Environmental Health, and Conservation of $98k not expended yet. Further cost not expended yet include Environmental and Building Professional fees of $48k, Environmental health and Ranger services Other of $80k. There is also some cost savings in salaries and other employee costs of $120k arising from vacancies not filled yet. Unfavourable revenue variance is mainly due to less income on fees and charges of $112k from Planning and Building services due to less applications received, and also Building fine & penalties of $11k less than the budget amount. Technical Services Expenditure: Favourable variance of $ 824,515 Revenue: Favourable variance of $ 211,821 The favourable expenditure variance is mainly due to expenses not expended yet for maintenance of parks services, drainage, footpath and building maintenance of $825k Favourable variance is due to an extra revenue on infrastructure services of $44k for Montario Quarter subdivision supervision fees and Parks fines & penalties of $137K for unauthorised development activities. Also, a small profit on sale of Assets of $20k contributed to positive variance. Capital Works Programme At the end of March, the expenditure on capital works were $7.2m with further commitments of $2.6m which is 69% of a total post-audit revised budget of $14.23 million. Net Current Assets Statement At 31 March 2018, net current assets were $11.64 M compared to $12.16 M in prior period. This is mainly due to increased reserves in this financial year of $527k. Increase in sundry debtors is higher by $400k mainly due to an invoice of $303k relating to the All Abilities Play Space project. Conclusion The statement of financial activity for the period ended 31 March indicates that operating expenses are under the year-to-date budget by 9.1% or $2.47 M, while revenue is above the Budget by 0.9% or $281k. Key Relevant Previous Council Decisions: Nil.
Council Agenda 24 April 2018
45
Consultation N/A Budget/Financial Implications As outlined in the Monthly Financial Report.
Row Labels Master Account (desc)
March Actual
YTD
March Budget
YTD Variance
Committed
Balance Annual Budget
Budget
Available
Governance
CEO`s Office
Governance
Expense
20420 Salaries ‐ Governance 647,188 604,680 (42,508) 0 806,028 158,840
20421 Other Employee Costs ‐ Governance 31,337 27,975 (3,362) 0 33,600 2,263
20423 Office ‐ Governance 21,316 20,147 (1,169) 903 27,700 5,481
20424 Motor Vehicles ‐ Governance 9,124 9,378 254 0 12,500 3,376
20425 Depreciation ‐ Governance 72,769 146,178 73,409 0 194,900 122,131
20427 Finance ‐ Governance 186,300 186,267 (33) 0 248,358 62,058
20428 Insurance ‐ Governance 131,676 129,800 (1,876) 0 129,800 (1,876)
20430 Other ‐ Governance 8,330 13,500 5,170 182 18,000 9,488
20434 Professional Fees ‐ Governance 9,619 25,000 15,381 0 50,000 40,381
20450 Special Projects ‐ Governance / PC93 70,379 159,375 88,996 2,935 202,500 129,187
Expense Total 1,188,037 1,322,300 134,263 4,020 1,723,386 531,329
Income
50410 Sundry Income ‐ Governance (215,364) (93,222) 122,142 0 (124,300) 91,064
Income Total (215,364) (93,222) 122,142 0 (124,300) 91,064
Governance Total 972,674 1,229,078 256,404 4,020 1,599,086 622,393
Communications
Expense
28320 Salaries ‐ Communications 202,808 232,209 29,401 0 309,599 106,791
28321 Other Employee Costs ‐ Communications 3,915 8,800 4,885 0 14,000 10,085
28323 Office ‐ Communications 51,860 64,431 12,571 6,448 79,300 20,993
28327 Finance ‐ Communications 68,310 68,310 0 0 91,085 22,775
28330 Other ‐ Communications 1,159 1,797 638 0 1,900 741
28334 Professional Fees ‐ Communications 0 250 250 0 500 500
28335 ICT Expenses ‐ Communications 26,685 30,200 3,515 1,095 32,600 4,820
28350 Special Projects ‐ Communications / PC 90 3,000 30,000 27,000 0 40,000 37,000
Expense Total 357,736 435,997 78,261 7,543 568,984 203,705
Communications Total 357,736 435,997 78,261 7,543 568,984 203,705
Human Resources
Expense
20520 Salaries ‐ HR 275,426 238,086 (37,340) 0 317,447 42,021
20521 Other Employee Costs ‐ HR 76,066 135,922 59,856 4,456 166,400 85,878
20522 Staff Recruitment ‐ HR 9,154 49,503 40,349 2,384 56,000 44,461
20523 Office ‐ HR 4,384 3,762 (622) 0 5,000 616
20524 Motor Vehicles ‐ HR 6,576 8,550 1,974 0 11,400 4,824
20525 Depreciation ‐ HR 350 378 28 0 500 150
20527 Finance ‐ HR (497,520) (497,511) 9 0 (663,347) (165,827)
20530 Other ‐ HR 689 1,953 1,264 0 2,600 1,911
20534 Professional Fees ‐ HR 81,021 67,500 (13,521) 0 90,000 8,979
20535 ICT Expenses ‐ HR 0 21,497 21,497 0 24,000 24,000
Expense Total (43,854) 29,640 73,494 6,840 10,000 47,013
Income
50510 Contributions & Reimbursements ‐ HR (3,816) (7,497) (3,681) 0 (10,000) (6,184)
Income Total (3,816) (7,497) (3,681) 0 (10,000) (6,184)
Human Resources Total (47,670) 22,143 69,813 6,840 0 40,830
Members Of Council
Expense
20323 Office ‐ MOC 26,201 27,000 799 3,245 36,000 6,554
20325 Depreciation ‐ MOC 652 675 23 0 900 248
20329 Members of Council ‐ MOC 416,572 336,456 (80,116) 0 448,600 32,028
20330 Other ‐ MOC 155 747 592 0 1,000 845
Expense Total 443,581 364,878 (78,703) 3,245 486,500 39,674
Members Of Council Total 443,581 364,878 (78,703) 3,245 486,500 39,674
CEO`s Office Total 1,726,321 2,052,096 325,775 21,648 2,654,570 906,602
Governance Total 1,726,321 2,052,096 325,775 21,648 2,654,570 906,602
Corporate & Strategy
Corporate Strategy & Systems
Customer Services
Expense
21320 Salaries ‐ Customer Service 284,921 408,555 123,634 0 544,750 259,829
21321 Other Employee Costs ‐ Customer Service 3,468 6,053 2,585 0 7,000 3,532
21323 Office ‐ Customer Service 3,949 4,131 182 1,336 5,500 215
21327 Finance ‐ Customer Service (583,650) (583,689) (39) 0 (778,250) (194,600)
21330 Other ‐ Customer Service 9,191 15,750 6,559 2,299 21,000 9,510
21350 Special Projects ‐ Customer Service 171,313 216,000 44,687 77,368 216,000 (32,681)
Expense Total (110,808) 66,800 177,608 81,004 16,000 45,805
Income
51301 Fees & Charges ‐ Customer Services (540) 0 540 0 0 540
Income Total (540) 0 540 0 0 540
Customer Services Total (111,348) 66,800 178,148 81,004 16,000 46,345
CITY OF NEDLANDS
FINANCIAL SUMMARY ‐ OPERATING ‐ BY BUSINESS UNIT
AS AT 31 MARCH 2018
Item 13.5 - Attachment 1
ICT
Expense
21720 Salaries ‐ ICT 328,275 323,580 (4,695) 0 431,438 103,163
21721 Other Employee Costs ‐ ICT 20,352 26,625 6,273 175 33,500 12,973
21723 Office ‐ ICT 30,485 37,503 7,018 0 50,000 19,515
21724 Motor Vehicles ‐ ICT 12,905 15,975 3,070 0 21,300 8,395
21725 Depreciation ‐ ICT 137,923 171,756 33,833 0 229,000 91,077
21727 Finance ‐ ICT (1,360,620) (1,360,605) 15 0 (1,814,138) (453,518)
21730 Other ‐ ICT 64 747 683 960 1,000 (24)
21734 Professional Fees ‐ ICT 45,510 90,000 44,490 24,810 120,000 49,680
21735 ICT Expenses ‐ ICT 468,162 466,925 (1,237) 14,894 817,900 334,843
21749 Loss Sale of Assets ‐ ICT 0 0 0 0 0 0
21750 Special Projects ‐ ICT 17,298 63,009 45,712 8,081 84,000 58,621
Expense Total (299,645) (164,485) 135,160 48,920 (26,000) 224,725
ICT Total (299,645) (164,485) 135,160 48,920 (26,000) 224,725
Corporate Strategy & Systems Total (410,994) (97,685) 313,309 129,924 (10,000) 271,070
Finance
Rates
Expense
21920 Salaries ‐ Rates 59,082 62,388 3,306 0 83,183 24,101
21921 Other Employee Costs ‐ Rates 1,047 1,200 153 0 1,200 153
21923 Office ‐ Rates 11,947 11,665 (282) 0 14,000 2,053
21927 Finance ‐ Rates 102,023 106,459 4,436 0 136,174 34,151
21930 Other ‐ Rates 11,121 16,665 5,544 0 20,000 8,879
21934 Professional Fees ‐ Rates 61,804 55,435 (6,369) 497 58,300 (4,001)
Expense Total 247,025 253,812 6,787 497 312,857 65,335
Income
51908 Rates ‐ Rates (22,774,303) (22,696,474) 77,829 0 (22,716,728) 57,575
Income Total (22,774,303) (22,696,474) 77,829 0 (22,716,728) 57,575
Rates Total (22,527,278) (22,442,662) 84,616 497 (22,403,871) 122,910
General Finance
Expense
21420 Salaries ‐ Finance 558,002 649,014 91,012 33,538 865,357 273,817
21421 Other Employee Costs ‐ Finance 25,507 43,080 17,573 2,130 50,000 22,364
21423 Office ‐ Finance 74,654 87,682 13,028 8,759 116,300 32,887
21424 Motor Vehicles ‐ Finance 8,076 15,750 7,674 0 21,000 12,924
21425 Depreciation ‐ Finance 332 1,053 721 0 1,400 1,068
21427 Finance ‐ Finance (797,993) (797,142) 851 5,205 (1,062,857) (270,068)
21428 Insurance ‐ Finance 2,041 0 (2,041) 0 0 (2,041)
21430 Other ‐ Finance 0 2,250 2,250 0 3,000 3,000
21434 Professional Fees ‐ Finance 22,677 46,162 23,485 3,336 52,500 26,487
21450 Special Projects ‐ Finance 4,619 30,000 25,381 4,725 40,000 30,656
Expense Total (102,085) 77,849 179,934 57,692 86,700 131,093
Income
51401 Fees & Charges ‐ Finance (50,632) (46,703) 3,929 0 (62,200) (11,568)
51410 Sundry Income ‐ Finance (23,422) (23,872) (450) 0 (24,500) (1,078)
Income Total (74,054) (70,575) 3,479 0 (86,700) (12,646)
General Finance Total (176,139) 7,274 183,413 57,692 0 118,447
General Purpose
Expense
21627 Finance ‐ General Purpose 21,331 40,800 19,469 0 40,800 19,469
21631 Interest ‐ General Purpose 155,707 189,115 33,408 0 289,000 133,293
Expense Total 177,038 229,915 52,877 0 329,800 152,762
Income
51602 Service Charges ‐ General Purpose (19) 0 19 0 0 19
51604 Grants Operating ‐ General Purpose (253,727) (297,351) (43,624) 0 (396,470) (142,743)
51607 Interest ‐ General Purpose (315,977) (290,322) 25,655 0 (387,100) (71,123)
51610 Sundry Income ‐ General Purpose 8 0 (8) 0 0 (8)
Income Total (569,715) (587,673) (17,958) 0 (783,570) (213,855)
General Purpose Total (392,678) (357,758) 34,920 0 (453,770) (61,092)
Shared Services
Expense
21523 Office ‐ Shared Services 25,258 16,497 (8,761) 3,347 22,000 (6,605)
21527 Finance ‐ Shared Services (55,530) (55,503) 27 0 (74,000) (18,470)
21534 Professional Fees ‐ Shared Services 56,662 14,165 (42,497) 8,500 52,000 (13,162)
Expense Total 26,390 (24,841) (51,231) 11,847 0 (38,238)
Shared Services Total 26,390 (24,841) (51,231) 11,847 0 (38,238)
Finance Total (23,069,704) (22,817,987) 251,717 70,036 (22,857,641) 142,027
Corporate & Strategy Total (23,480,698) (22,915,672) 565,026 199,960 (22,867,641) 413,097
Community Development
Community Development
Community Development
Expense
28120 Salaries ‐ Community Development 326,115 325,614 (501) 5,750 434,157 102,292
28121 Other Employee Costs ‐ Community Development 15,184 16,375 1,191 0 19,900 4,716
28123 Office ‐ Community Development 3,431 3,159 (272) 0 4,200 769
28124 Motor Vehicles ‐ Community Development 9,468 10,422 954 0 13,900 4,432
28125 Depreciation ‐ Community Development 2,419 2,547 128 0 3,400 981
28127 Finance ‐ Community Development 144,630 144,648 18 0 192,865 48,235
Item 13.5 - Attachment 1
28130 Other ‐ Community Development 4,473 2,628 (1,845) 0 3,500 (973)
28134 Professional Fees ‐ Community Development 500 1,503 1,003 0 2,000 1,500
28137 Donations ‐ Community Development 113,406 188,772 75,366 0 249,700 136,294
28150 Special Projects ‐ Community Development 1,771 11,250 9,479 0 15,000 13,229
28151 OPRL Activities ‐ Community Development / PC82‐87 96,773 151,375 54,602 34,421 187,800 56,606
Expense Total 718,171 858,293 140,122 40,171 1,126,422 368,080
Income
58101 Fees & Charges ‐ Community Development (17,228) (14,253) 2,975 0 (21,500) (4,272)
58104 Grants Operating ‐ Community Development (19,950) (5,128) 14,822 0 (26,500) (6,550)
58106 Contributions & Reimbursem ‐ Community Developmen (100) (3,000) (2,900) 0 (3,000) (2,900)
Income Total (37,278) (22,381) 14,897 0 (51,000) (13,722)
Community Development Total 680,892 835,912 155,020 40,171 1,075,422 354,359
Community Facilities
Income
58201 Fees & Charges ‐ Community Facilities (10,711) (9,378) 1,333 0 (12,500) (1,789)
58206 Contributions & Reimbursemen ‐Community Facilities 0 (747) (747) 0 (1,000) (1,000)
58209 Council Property ‐ Community Facilities (152,920) (139,131) 13,789 0 (185,500) (32,580)
Income Total (163,632) (149,256) 14,376 0 (199,000) (35,368)
Community Facilities Total (163,632) (149,256) 14,376 0 (199,000) (35,368)
Volunteer Services VRC
Expense
29320 Salaries ‐ Volunteer Services VRC 66,919 62,289 (4,630) 0 83,056 16,137
29321 Other Employee Cost ‐ Volunteer Services VRC 2,155 2,325 170 0 2,700 545
29323 Office ‐ Volunteer Services VRC 912 3,675 2,763 0 5,000 4,088
29327 Finance ‐ Volunteer Services VRC 18,270 18,306 36 0 24,405 6,135
29330 Other ‐ Volunteer Services VRC 4,325 5,475 1,150 39 7,300 2,937
Expense Total 92,581 92,070 (511) 39 122,461 29,841
Income
59304 Grants Operating ‐ Volunteer Services VRC (22,546) (14,300) 8,246 0 (14,300) 8,246
Income Total (22,546) (14,300) 8,246 0 (14,300) 8,246
Volunteer Services VRC Total 70,035 77,770 7,735 39 108,161 38,087
Volunteer Services NVS
Expense
29220 Salaries ‐ Volunteer Services NVS 20,455 22,941 2,486 0 30,597 10,142
29221 Other Employee Costs ‐ Volunteer Services NVS 420 500 80 0 500 80
29223 Office ‐ Volunteer Services NVS 135 1,865 1,730 0 3,400 3,265
29227 Finance ‐ Volunteer Services NVS 16,830 16,794 (36) 0 22,396 5,566
29230 Other ‐ Volunteer Services NVS 950 3,165 2,215 853 4,000 2,197
29250 Special Projects ‐ Volunteer Services NVS 1,634 0 (1,634) 0 0 (1,634)
Expense Total 40,423 45,265 4,842 853 60,893 19,617
Volunteer Services NVS Total 40,423 45,265 4,842 853 60,893 19,617
Tresillian Community Centre
Expense
29120 Salaries ‐ Tresillian CC 176,286 180,072 3,786 0 240,095 63,809
29121 Other Employee Costs ‐ Tresillan CC 4,727 5,450 723 0 6,200 1,473
29123 Office ‐ Tresillian CC 16,208 19,053 2,845 5,751 25,400 3,441
29125 Depreciation ‐ Tresillan CC 526 603 77 0 800 274
29127 Finance ‐ Tresillan CC 69,529 70,803 1,274 0 94,403 24,874
29130 Other ‐ Tresillan CC 5,737 9,378 3,641 251 12,500 6,512
29136 Courses ‐ Tresillan CC 121,856 150,381 28,525 32,534 200,500 46,110
29150 Exhibition 1,982 5,328 3,346 0 7,100 5,118
Expense Total 396,851 441,068 44,217 38,537 586,998 151,610
Income
59101 Fees & Charges ‐ Tresillan CC (226,913) (271,494) (44,581) 0 (362,000) (135,087)
59109 Council Property ‐ Tresillan CC (23,551) (21,375) 2,176 0 (28,500) (4,949)
Income Total (250,465) (292,869) (42,404) 0 (390,500) (140,035)
Tresillian Community Centre Total 146,386 148,199 1,813 38,537 196,498 11,575
Community Development Total 774,106 957,890 183,784 79,599 1,241,974 388,269
Community Services Centres
Nedlands Community Care
Expense
28620 Salaries ‐ NCC 517,452 686,304 168,852 0 915,042 397,590
28621 Other Employee Costs ‐ NCC 3,797 20,250 16,453 209 27,000 22,994
28623 Office ‐ NCC 2,823 8,631 5,808 398 11,500 8,279
28624 Motor Vehicles ‐ NCC 70,674 87,750 17,076 0 117,000 46,326
28625 Depreciation ‐ NCC 20,338 30,906 10,568 0 41,200 20,862
28626 Utility ‐ NCC 5,454 3,078 (2,376) 0 4,100 (1,354)
28627 Finance ‐ NCC 224,550 224,523 (27) 0 299,363 74,813
28630 Other ‐ NCC 31,147 56,718 25,571 6,411 75,600 38,042
28635 ICT Expenses ‐ NCC 7,171 8,631 1,460 0 11,500 4,329
28664 Hacc Unit Cost ‐ NCC / PC66 56,548 0 (56,548) 0 0 (56,548)
Expense Total 939,954 1,126,791 186,838 7,018 1,502,305 555,333
Income
58601 Fees & Charges ‐ NCC (66,812) (64,521) 2,291 0 (86,000) (19,188)
58604 Grants Operating ‐ NCC (838,116) (774,693) 63,423 0 (1,032,900) (194,784)
58610 Sundry Income ‐ NCC 0 (1,503) (1,503) 0 (2,000) (2,000)
58615 Profit Sale of Assets ‐ NCC (4,182) 0 4,182 0 0 4,182
Income Total (909,109) (840,717) 68,392 0 (1,120,900) (211,791)
Nedlands Community Care Total 30,844 286,074 255,230 7,018 381,405 343,543
Positive Ageing
Item 13.5 - Attachment 1
Expense
27420 Salaries ‐ Positive Ageing 36,487 35,109 (1,378) 0 46,813 10,326
27421 Other Employee Costs ‐ Positive Ageing 608 2,200 1,592 0 2,700 2,092
27427 Finance ‐ Positive Ageing 17,640 17,640 0 0 23,516 5,876
28437 Donations ‐ Positive Ageing 3,912 4,500 588 2,122 6,000 (33)
28450 Other ‐ Positive Ageing 10,283 12,150 1,867 360 16,200 5,557
Expense Total 68,929 71,599 2,670 2,482 95,229 23,818
Income
58420 Fees & Charges ‐ Positive Ageing (18,835) (10,503) 8,332 0 (14,000) 4,835
58423 Grants Operating ‐ Positive Ageing 0 (250) (250) 0 (500) (500)
Income Total (18,835) (10,753) 8,082 0 (14,500) 4,335
Positive Ageing Total 50,094 60,846 10,752 2,482 80,729 28,153
Point Resolution Child Care
Expense
28820 Salaries ‐ PRCC 358,407 360,975 2,568 0 481,301 122,894
28821 Other Employee Costs ‐ PRCC 7,645 11,400 3,755 0 13,100 5,455
28823 Office ‐ PRCC 4,313 6,606 2,293 0 8,800 4,487
28824 Motor Vehicles ‐ PRCC 6,165 6,003 (162) 0 8,000 1,835
28825 Depreciation ‐ PRCC 807 225 (582) 0 300 (507)
28826 Utility ‐ PRCC 3,551 5,250 1,699 0 7,000 3,449
28827 Finance ‐ PRCC 70,823 69,012 (1,811) 0 92,019 21,196
28830 Other ‐ PRCC 2,607 15,822 13,215 0 21,100 18,493
28835 ICT Expenses ‐ PRCC 1,880 3,150 1,270 0 4,200 2,320
28850 Special Projects ‐ PRCC 637 0 (637) 0 0 (637)
Expense Total 456,834 478,443 21,609 0 635,820 178,986
Income
58801 Fees & Charges ‐ PRCC (397,396) (459,000) (61,604) 0 (612,000) (214,604)
Income Total (397,396) (459,000) (61,604) 0 (612,000) (214,604)
Point Resolution Child Care Total 59,438 19,443 (39,995) 0 23,820 (35,618)
Mt Claremont Library
Expense
28523 Office ‐ Mt Claremont Library 6,186 8,253 2,067 789 11,000 4,026
28525 Depreciation ‐ Mt Claremont Library 0 378 378 0 500 500
28527 Finance ‐ Mt Claremont Library 30,240 30,276 36 0 40,371 10,131
28530 Other ‐ Mt Claremont Library 19,556 26,775 7,219 4,912 35,700 11,233
28535 ICT Expenses ‐ Mt Claremont Library 9,336 10,044 708 0 13,400 4,064
Expense Total 65,317 75,726 10,409 5,700 100,971 29,954
Income
58501 Fees & Charges ‐ Mt Claremont Library (552) (378) 174 0 (500) 52
58510 Sundry Income ‐ Mt Claremont Library (428) (153) 275 0 (200) 228
58511 Fines & Penalties ‐ Mt Claremont Library (326) (378) (52) 0 (500) (174)
Income Total (1,306) (909) 397 0 (1,200) 106
Mt Claremont Library Total 64,011 74,817 10,806 5,700 99,771 30,060
Nedlands Library
Expense
28720 Salaries ‐ Library Services 682,681 735,084 52,403 0 980,111 297,430
28721 Other Employee Costs ‐ Library Services 25,979 27,525 1,546 0 33,000 7,021
28723 Office ‐ Nedlands Library 24,747 34,119 9,372 1,338 45,500 19,416
28724 Motor Vehicles ‐ Nedlands Library 13,023 13,725 702 0 18,300 5,277
28725 Depreciation ‐ Nedlands Library 8,995 4,725 (4,270) 0 6,300 (2,695)
28727 Finance ‐ Nedlands Library 354,780 354,753 (27) 0 473,005 118,225
28730 Other ‐ Nedlands Library 60,055 106,497 46,442 9,160 142,000 72,785
28731 Grants Expenditure ‐ Nedlands Library 1,200 1,503 303 0 2,000 800
28734 Professional Fees ‐ Nedlands Library 0 900 900 0 1,200 1,200
28735 ICT Expenses ‐ Nedlands Library 26,711 26,784 73 0 35,700 8,989
28750 Special Projects ‐ Nedlands Library 0 2,322 2,322 0 3,100 3,100
Expense Total 1,198,171 1,307,937 109,767 10,497 1,740,216 531,548
Income
58701 Fees & Charges ‐ Nedland Library (5,686) (3,753) 1,933 0 (5,000) 686
58704 Grants Operating ‐ Nedlands Library (1,200) (1,494) (294) 0 (2,000) (800)
58710 Sundry Income ‐ Nedlands Library (6,180) (4,878) 1,302 0 (6,500) (320)
58711 Fines & Penalties ‐ Nedlands Library (2,815) (2,628) 187 0 (3,500) (685)
Income Total (15,881) (12,753) 3,128 0 (17,000) (1,119)
Nedlands Library Total 1,182,290 1,295,184 112,894 10,497 1,723,216 530,429
Community Services Centres Total 1,386,677 1,736,364 349,687 25,697 2,308,941 896,567
Community Development Total 2,160,783 2,694,254 533,471 105,297 3,550,915 1,284,836
Planning & Development Services
Planning Services
Town Planning ‐ Administration
Expense
24820 Salaries ‐ Town Planning Admin 74,758 75,330 572 0 100,439 25,681
24821 Other Employee Costs‐Town Planning Admin 35,934 41,600 5,666 0 51,400 15,466
24823 Office ‐ Town Planning Admin 2,495 8,253 5,758 78 11,000 8,427
24824 Motor Vehicles ‐ Town Planning Admin 31,318 36,000 4,682 0 48,000 16,682
24825 Depreciation ‐ Town Planning Admin 391 450 59 0 600 209
24827 Finance ‐ Town Planning Admin 294,840 294,876 36 0 393,170 98,330
24830 Other ‐ Town Planning Admin 125 6,750 6,625 0 9,000 8,875
24862 Statutory Projects ‐ Town Planning 0 4,500 4,500 0 6,000 6,000
Expense Total 439,861 467,759 27,898 78 619,609 179,670
Item 13.5 - Attachment 1
Income
54801 Fees & Charges ‐ Town Planning Admin (222,417) (300,747) (78,330) 0 (401,000) (178,583)
54811 Fines & Penalties ‐ Town Planning (2,000) 0 2,000 0 (1,000) 1,000
Income Total (224,417) (300,747) (76,330) 0 (402,000) (177,583)
Town Planning ‐ Administration Total 215,444 167,012 (48,432) 78 217,609 2,087
Statutory Planning
Expense
24320 Salaries ‐ Statutory Planning 295,802 282,531 (13,271) 0 376,704 80,902
24321 Other Employee Costs ‐ Statutory Planning 377 6,300 5,923 700 8,400 7,323
24334 Professional Fees ‐ Statutory Planning 56,489 37,503 (18,986) 3,033 50,000 (9,521)
Expense Total 352,668 326,334 (26,334) 3,733 435,104 78,703
Statutory Planning Total 352,668 326,334 (26,334) 3,733 435,104 78,703
Strategic Planning
Expense
24857 Strategic Projects ‐ Strategic Planning 49,374 126,000 76,626 19,070 168,000 99,556
24920 Salaries ‐ Strategic Planning 298,122 350,550 52,428 0 467,397 169,275
24921 Other Employee Costs ‐ Strategic Planning 2,232 5,697 3,465 0 7,600 5,368
24934 Professional Fees ‐ Strategic Planning 15,650 7,497 (8,153) 3,936 10,000 (9,587)
Expense Total 365,379 489,744 124,365 23,006 652,997 264,612
Strategic Planning Total 365,379 489,744 124,365 23,006 652,997 264,612
Planning Services Total 933,491 983,090 49,599 26,817 1,305,710 345,402
Health & Compliance
Sustainability
Expense
24620 Salaries ‐ Sustainability 69,278 57,834 (11,444) 0 77,120 7,842
24621 Other Employee Costs ‐ Sustainability 963 1,100 137 0 1,100 137
24624 Motor Vehicles ‐ Sustainablility 14,262 8,397 (5,865) 0 11,200 (3,062)
24625 Depreciation ‐ Sustainablility 1,127 1,197 70 0 1,600 473
24627 Finance ‐ Sustainablility 8,640 8,622 (18) 0 11,496 2,856
24630 Other ‐ Sustainablility 421 0 (421) 0 0 (421)
24638 Operational Activities ‐ Sustainability / PC79 10,165 35,162 24,997 4,333 42,500 28,002
Expense Total 104,856 112,312 7,456 4,333 145,016 35,827
Income
54610 Sundry Income ‐ Sustainablility 0 (747) (747) 0 (1,000) (1,000)
Income Total 0 (747) (747) 0 (1,000) (1,000)
Sustainability Total 104,856 111,565 6,709 4,333 144,016 34,827
Environmental Health
Expense
24720 Salaries ‐ Environmental Health 332,977 321,987 (10,990) 0 429,310 96,333
24721 Other Employee Costs ‐ Environmental Health 17,708 23,010 5,302 0 28,800 11,092
24723 Office ‐ Environmental Health 298 1,944 1,646 0 2,600 2,302
24724 Motor Vehicles ‐ Environmental Health 0 6,300 6,300 0 8,400 8,400
24725 Depreciation ‐ Environmental Health 3,721 3,078 (643) 0 4,100 379
24727 Finance ‐ Environmental Health 109,080 109,098 18 0 145,465 36,385
24730 Other ‐ Environmental Health 848 27,378 26,530 34,073 36,500 1,579
24734 Professional Fees ‐ Environmental Health 0 22,500 22,500 0 30,000 30,000
24735 ICT Expenses ‐ Environmental Health 0 1,503 1,503 505 2,000 1,495
24751 OPRL Activities ‐ Environmental Health PC76,77,78 50,729 75,000 24,271 11,418 80,200 18,053
Expense Total 515,362 591,798 76,436 45,996 767,375 206,017
Income
54701 Fees & Charges ‐ Environmental Health (39,668) (33,750) 5,918 0 (45,000) (5,332)
54710 Sundry Income ‐ Environmental Health (522) (1,503) (981) 0 (2,000) (1,478)
54711 Fines & Penalties ‐ Environmental Health (10,053) (19,872) (9,819) 0 (26,500) (16,447)
Income Total (50,243) (55,125) (4,882) 0 (73,500) (23,257)
Environmental Health Total 465,119 536,673 71,554 45,996 693,875 182,760
Environmental Conservation
Expense
24221 Other Employee Costs ‐ Environmental Conservation 435 3,000 2,566 0 4,000 3,566
24223 Office ‐ Environmental Conservation 2,113 750 (1,363) 0 1,000 (1,113)
24227 Finance ‐ Environmental Conservation 53,699 53,676 (23) 0 71,568 17,869
24230 Other ‐ Environmental Conservation 980 1,275 295 0 1,700 720
24237 Donations ‐ Environmental Conservation 0 1,275 1,275 0 1,700 1,700
24251 Operational Activities‐Environ Conservation / PC80 418,574 467,513 48,939 137,559 631,785 75,651
Expense Total 475,800 527,489 51,689 137,559 711,753 98,393
Income
54204 Grants Operating ‐ Environmental Conservation (30,713) (22,500) 8,213 0 (30,000) 713
54210 Sundry Income ‐ Environmental Conservation (6,356) (8,800) (2,444) 0 (8,800) (2,444)
Income Total (37,069) (31,300) 5,769 0 (38,800) (1,731)
Environmental Conservation Total 438,731 496,189 57,458 137,559 672,953 96,662
Ranger Services
Expense
21120 Salaries ‐ Ranger Services 444,505 458,424 13,919 0 611,241 166,736
21121 Other Employee Costs ‐ Ranger Services 12,326 16,184 3,858 595 19,200 6,278
21123 Office ‐ Ranger Services 6,807 8,469 1,662 3,001 11,300 1,493
21124 Motor Vehicles ‐ Ranger Services 36,396 46,500 10,104 0 62,000 25,604
21125 Depreciation ‐ Ranger Services 3,746 3,078 (668) 0 4,100 354
21127 Finance ‐ Ranger Services 160,580 176,662 16,082 0 235,491 74,911
21130 Other ‐ Ranger Services 23,353 77,178 53,825 6,337 84,300 54,609
21134 Professional Fees ‐ Ranger Services 6,237 3,753 (2,484) 865 5,000 (2,102)
21135 ICT Expenses ‐ Ranger Services 0 11,250 11,250 0 15,000 15,000
Item 13.5 - Attachment 1
21137 Donations ‐ Ranger Services 1,000 1,000 0 0 1,000 0
Expense Total 694,950 802,498 107,548 10,799 1,048,632 342,883
Income
51101 Fees & Charges ‐ Ranger Services (59,273) (63,128) (3,855) 0 (83,500) (24,227)
51106 Contributions & Reimbursements‐ Rangers Services (27,420) (30,000) (2,580) 0 (30,000) (2,580)
51110 Sundry Income ‐ Ranger Services (500) 0 500 0 (2,500) (2,000)
51111 Fines & Penalties ‐ Rangers Services (287,208) (275,997) 11,211 0 (367,000) (79,792)
Income Total (374,400) (369,125) 5,275 0 (483,000) (108,600)
Ranger Services Total 320,550 433,373 112,823 10,799 565,632 234,283
Health & Compliance Total 1,329,257 1,577,800 248,543 198,687 2,076,476 548,532
Building Services
Building Services
Expense
24420 Salaries ‐ Building Services 527,705 548,145 20,440 0 730,869 203,164
24421 Other Employee Costs ‐ Building Services 29,211 35,515 6,304 160 44,300 14,929
24423 Office ‐ Building Services 3,872 4,006 134 0 5,000 1,128
24424 Motor Vehicles ‐ Building Services 20,861 19,197 (1,664) 0 25,600 4,739
24425 Depreciation ‐ Building Services 182 225 43 0 300 118
24427 Finance ‐ Building Services 237,780 237,753 (27) 0 317,006 79,226
24430 Other ‐ Building Services 4,055 1,503 (2,552) 0 2,000 (2,055)
24434 Professional Fees ‐ Building Services 18,524 45,000 26,476 3,215 60,000 38,261
Expense Total 842,190 891,344 49,154 3,375 1,185,075 339,510
Income
54401 Fees & Charges ‐ Building Services (373,358) (407,722) (34,364) 0 (491,600) (118,242)
54410 Sundry Income ‐ Building Services (65,909) (74,997) (9,088) 0 (100,000) (34,091)
54411 Fines & Penalties ‐ Building Services (1,061) (12,753) (11,692) 0 (17,000) (15,939)
Income Total (440,328) (495,472) (55,144) 0 (608,600) (168,272)
Building Services Total 401,862 395,872 (5,990) 3,375 576,475 171,238
Building Services Total 401,862 395,872 (5,990) 3,375 576,475 171,238
Planning & Development Services Total 2,664,609 2,956,762 292,153 228,879 3,958,661 1,065,172
Technical Services
Engineering
Infrastructure Services
Expense
26220 Salaries ‐ Infrastructure Svs 1,599,056 1,606,686 7,630 0 2,142,237 543,181
26221 Other Employee Costs ‐ Infrastructure Svs 125,886 144,125 18,239 15,601 175,300 33,813
26223 Office ‐ Infrastructure Svs 23,956 32,994 9,038 6,414 44,000 13,630
26224 Motor Vehicles ‐ Infrastructure Svs 41,656 64,575 22,919 0 86,100 44,444
26225 Depreciation ‐ Infrastructure Svs 8,784 8,622 (162) 0 11,500 2,716
26227 Finance ‐ Infrastructure Svs (1,493,876) (1,881,303) (387,428) 0 (2,508,406) (1,014,531)
26228 Insurance ‐ Infrastructure Svs 65,277 67,600 2,323 0 67,600 2,323
26230 Other ‐ Infrastructure Svs 23,200 56,250 33,050 406 75,000 51,393
26234 Professional Fees ‐ Infrastructure Svs 59,792 99,378 39,586 2,743 132,500 69,965
26235 ICT Expenses ‐ Infrastructure Svs 5,619 11,511 5,892 1,595 15,340 8,126
36101 Project Contribution ‐ Infrastructure 2,500,470 1,953,000 (547,470) 1,980,570 5,053,000 571,960
Expense Total 2,959,820 2,163,438 (796,382) 2,007,329 5,294,171 327,022
Income
56201 Fees & Charges ‐ Infrastructure Svs (44,135) 0 44,135 0 0 44,135
Income Total (44,135) 0 44,135 0 0 44,135
Infrastructure Services Total 2,915,684 2,163,438 (752,246) 2,007,329 5,294,171 371,158
Plant Operating
Expense
26525 Depreciation ‐ Plant Operating 420,269 709,428 289,159 0 945,900 525,631
26527 Finance ‐ Plant Operating (817,554) (1,159,125) (341,572) 0 (1,545,500) (727,947)
26532 Plant ‐ Plant Operating 506,296 412,553 (93,743) 37,795 674,600 130,509
26533 Minor Parts & Workshop Tools ‐ Plant Operating 25,882 39,000 13,118 4,117 39,000 9,001
26549 Loss Sale of Assets ‐ Plant Operating 22,855 24,915 2,060 0 29,900 7,045
Expense Total 157,748 26,771 (130,977) 41,911 143,900 (55,760)
Income
56501 Fees & Charges ‐ Plant Operating (35,409) (50,000) (14,591) 0 (50,000) (14,591)
56510 Sundry Income ‐ Plant operating (32,782) 0 32,782 0 0 32,782
56515 Profit Sale of Assets ‐ Plant Operating (45,463) (25,085) 20,378 0 (30,100) 15,363
Income Total (113,654) (75,085) 38,569 0 (80,100) 33,554
Plant Operating Total 44,094 (48,314) (92,408) 41,911 63,800 (22,206)
Streets Roads and Depots
Expense
26625 Depreciation ‐ Streets Roads & Depots 2,671,381 2,309,244 (362,137) 0 3,079,000 407,619
26626 Utility ‐ Streets Roads & Depots 365,784 398,025 32,241 0 530,700 164,916
26630 Other 2,214 22,509 20,295 0 30,000 27,786
26640 Reinstatement ‐ Streets Roads & Depot 361 8,406 8,045 0 11,200 10,839
26667 Road Maintenance / PC51 512,126 525,000 12,874 102,012 700,000 85,862
26668 Drainage Maintenance / PC52 293,210 397,497 104,287 142,704 530,000 94,086
26669 Footpath Maintenance / PC53 153,483 158,481 4,998 10,409 211,300 47,408
26670 Parking Signs / PC54 83,428 67,500 (15,928) 2,341 90,000 4,232
26671 Right of Way Maintenance / PC55 60,891 67,500 6,609 727 90,000 28,382
26672 Bus Shelter Maintenance / PC56 10,066 7,497 (2,569) 0 10,000 (66)
26673 Graffiti Control / PC57 7,889 15,003 7,114 668 20,000 11,443
26674 Streets Roads & Depot / PC89 169,736 112,500 (57,236) 22,177 150,000 (41,913)
26627 Finance ‐ Streets Roads & Depots 100 0 (100) 0 0 (100)
Item 13.5 - Attachment 1
Expense Total 4,330,667 4,089,162 (241,505) 281,039 5,452,200 840,495
Income
56601 Fees & Charges ‐ Streets Roads & Depots (52,898) (77,000) (24,102) 0 (77,000) (24,102)
56604 Grants Operating ‐ Streets Roads & Depots (39,402) (65,000) (25,598) 0 (65,000) (25,598)
56606 Contributions & Reimburse ‐ Streets Roads & Depots (39,848) (20,000) 19,848 0 (20,000) 19,848
56610 Sundry Income ‐ Streets Roads & Depots (1,175) (1,000) 175 0 (1,000) 175
56611 Fines and Penalties ‐ Streets Roads & Depots (1,100) 0 1,100 0 0 1,100
Income Total (134,423) (163,000) (28,577) 0 (163,000) (28,577)
Streets Roads and Depots Total 4,196,244 3,926,162 (270,082) 281,039 5,289,200 811,917
Waste Minimisation
Expense
24520 Salaries ‐ Waste Minimisation 188,145 178,767 (9,378) 0 238,359 50,214
24521 Other Employee Costs ‐ Waste Minimisation 6,074 4,075 (1,999) 0 4,500 (1,574)
24524 Motor Vehicles ‐ Waste Minimisation 6,905 6,678 (227) 0 8,900 1,995
24525 Depreciation ‐ Waste Minimisation 0 33,597 33,597 0 44,800 44,800
24527 Finance ‐ Waste Minimisation 126,560 126,522 (38) 0 168,694 42,134
24538 Purchase of Product ‐ Waste Minimisation 1,572 2,997 1,425 225 4,000 2,204
24552 Residental Kerbside ‐ Waste Minimisation / PC71 1,284,516 1,384,950 100,434 1,057,312 1,846,600 (495,228)
24553 Residental Bulk ‐ Waste Minimisation / PC72 179,079 336,825 157,746 109,851 449,100 160,170
24554 Commercial ‐ Waste Minimisation / PC73 56,658 71,775 15,117 66,746 95,700 (27,704)
24555 Public Waste ‐ Waste Minimisation / PC74 52,546 75,366 22,820 53,356 100,500 (5,402)
24556 Waste Strategy ‐ Waste Minimisation / PC75 12,898 83,547 70,649 54,877 111,400 43,626
Expense Total 1,914,952 2,305,099 390,147 1,342,366 3,072,553 (184,764)
Income
54501 Fees & Charges ‐ Waste Minimisation (3,305,526) (3,310,056) (4,530) 0 (3,317,800) (12,274)
Income Total (3,305,526) (3,310,056) (4,530) 0 (3,317,800) (12,274)
Waste Minimisation Total (1,390,574) (1,004,957) 385,617 1,342,366 (245,247) (197,039)
Building Maintenance
Expense
24120 Salaries ‐ Building Maintenance 253,925 260,055 6,130 0 346,738 92,814
24121 Other Employee Costs ‐ Building Maintenance 7,086 10,094 3,008 155 12,400 5,160
24123 Office ‐ Building Maintenance 1,800 828 (972) 0 1,100 (700)
24124 Motor Vehicles ‐ Building Maintenance 27,788 27,000 (788) 0 36,000 8,213
24125 Depreciation ‐ Building Maintenance 541,623 1,471,650 930,027 0 1,962,200 1,420,577
24126 Utility ‐ Building Maintenance PC41,42,43 177,096 213,825 36,729 (431) 256,600 79,935
24127 Finance ‐ Building Maintenance 166,770 166,761 (9) 0 222,348 55,578
24128 Insurance ‐ Building Maintenance PC40 56,504 63,800 7,296 0 63,800 7,296
24130 Other ‐ Building Maintenance 6,645 2,997 (3,648) 0 4,000 (2,645)
24133 Building ‐ Building Maintenance PC58 866,490 1,059,201 192,711 214,929 1,407,900 326,481
Expense Total 2,105,726 3,276,211 1,170,485 214,653 4,313,086 1,992,707
Income
54106 Contributions & Reimbursement ‐ Building Maintenan (74,929) (37,872) 37,057 0 (50,500) 24,429
54109 Council Property ‐ Building Maintenance (186,646) (239,904) (53,258) 0 (319,880) (133,234)
Income Total (261,575) (277,776) (16,201) 0 (370,380) (108,805)
Building Maintenance Total 1,844,151 2,998,435 1,154,284 214,653 3,942,706 1,883,901
Engineering Total 7,609,600 8,034,764 425,164 3,887,298 14,344,630 2,847,732
Parks Services
Parks Services
Expense
26360 Depreciation ‐ Parks Services 621,347 538,797 (82,550) 0 718,400 97,053
26365 Maintenance ‐ Parks Services / PC59 2,925,612 3,440,908 515,296 333,026 4,443,900 1,185,262
Expense Total 3,546,959 3,979,705 432,746 333,026 5,162,300 1,282,315
Income
56301 Fees & Charges ‐ Parks & Ovals (746) 0 746 0 0 746
56306 Contributions & Reimbursements ‐ Parks Services (24,710) 0 24,710 0 (5,000) 19,710
56309 Council Property ‐ Parks Services (54,359) (46,609) 7,750 0 (62,000) (7,641)
56310 Sundry Income ‐ Parks Services (7,721) 0 7,721 0 0 7,721
56312 Fines & Penalties ‐ Parks & Ovals (137,500) 0 137,500 0 0 137,500
Income Total (225,035) (46,609) 178,426 0 (67,000) 158,035
Parks Services Total 3,321,924 3,933,096 611,172 333,026 5,095,300 1,440,350
Parks Services Total 3,321,924 3,933,096 611,172 333,026 5,095,300 1,440,350
Technical Services Total 10,931,524 11,967,860 1,036,336 4,220,324 19,439,930 4,288,082
City of Nedlands Total (5,997,462) (3,244,700) 2,752,762 4,776,108 6,736,435 7,957,789
Item 13.5 - Attachment 1
L1 L1 Desc / NL2 ‐ Desc
March Actual
YTD
Committed
Balance
June Budget
YTD
Budget
Available
2 Footpath Rehabilitation
2030 Beatrice Road 0 0 73,710 73,710
2500 Stirling Hwy ‐ CF Taylor to Vincent 4 sections 571,139 0 580,800 9,661
2452 School Sports Facility 0 0 95,550 95,550
2044 Leon Road 34,458 0 33,646 ‐812
600 Princess Rd ‐ Marita to Broadway LHS 42,560 33,658 178,100 101,882
601 Princess Rd ‐ Kingsway to Broadway RHS 0 0 16,900 16,900
602 Stirling Hwy ‐ Thomas to Archdeacon Sth 0 0 178,120 178,120
603 Stirling Hwy ‐ Archdeacon to Bruce Sth 0 0 82,450 82,450
Footpath Rehabilitation Total 648,158 33,658 1,239,276 557,460
3 Road Rehabilitation
2028 Dalkeith Road 156,663 0 259,740 103,077
2038 Jenkins Ave 4,686 0 215,280 210,594
2189 Adams Road 156,395 0 161,000 4,605
2174 Sayer Street 79,315 455 104,790 25,020
2081 Browne Avenue 503,386 0 539,150 35,764
2127 Gunn Street 137,804 0 137,305 ‐499
2188 Iris Avenue 149,458 0 154,700 5,242
2094 Birkdale Street 187,585 88,552 423,020 146,883
2098 Shann Street 152,807 188,892 562,250 220,551
2305 Bee Eater Lane 4,795 64,882 75,010 5,334
Road Rehabilitation Total 1,532,894 342,780 2,632,245 756,571
4 Drainage Rehabilitation
2024 Carrington Street 637 0 260,000 259,363
2190 Riverview Ct 0 0 45,000 45,000
2226 Waratah Place 15,655 0 33,400 17,745
2050 Strickland Street 133,532 1,091 139,000 4,377
Drainage Rehabilitation Total 149,824 1,091 477,400 326,485
5 Street Furniture / Bus Shelter
4057 Beaton Park 0 0 111,500 111,500
9000 City Wide 0 52,337 70,200 17,863
Street Furniture / Bus Shelter Total 0 52,337 181,700 129,363
6 Grant Funded Projects
2003 Alfred Road 2,341 0 3,628 1,287
2012 Waratah Avenue 0 0 205,000 205,000
2401 INTXN Brockway/Brookdale/Underwood ‐ UG & safety 533,814 215,124 762,783 13,845
2403 INTXN Gugeri St/Railway Rd/Loch St 380,037 0 331,569 ‐48,468
2143 Brockway Road 5,992 572,012 0 ‐578,004
2290 Quintilian Road 36,422 2,723 92,000 52,855
2409 INTXN‐ Smyth Road/Monash Avenue 986 215,936 250,000 33,077
400 Brockway Rd ‐ Underwood to Lemnos 0 0 724,700 724,700
401 INTXN Brockway/Underwood ‐ Boundary Rd resurfacing 193,209 0 189,500 ‐3,709
Grant Funded Projects Total 1,152,802 1,005,796 2,559,180 400,582
11 Building Construction
4001 Kirkwood Rd ‐ Allen Park Lower Pavilion 6,240 0 0 ‐6,240
4003 Broome St ‐ Council Depot 30,470 8,534 154,005 115,000
4005 Drabble House Flat ‐ 8A Webster St 0 0 39,000 39,000
4006 2 Draper St ‐ Hackett Playcentre 1,023 280 30,000 28,697
4007 140 Melvista Ave ‐ JC Smith Pavilion 88,116 0 78,000 ‐10,116
4008 60 Stirling Hwy ‐ Nedlands Library 25,440 2,750 31,200 3,010
4009 53 Jutland Pde ‐ PRCC 27,363 2,764 84,500 54,373
4010 97 Wartah Ave ‐ NCC 21,113 0 22,100 987
4011 105 Montgomery Ave ‐ MTC Library 0 0 19,500 19,500
4012 19 Haldane St ‐ MTC Community Centre 779 0 0 ‐779
4018 21 Tyrell St ‐ Tresillian 6,475 17,000 45,500 22,025
4019 84 Beatrice Rd ‐ Adam A. Pavilion (Collegians AFC) 32,894 0 33,320 426
4020 71 Stirling Hwy ‐ Administration Bldg 20,912 2,722 84,500 60,867
4022 Public Toilets/Changerooms 7,030 0 26,000 18,970
4025 61 Clement St ‐ Allen Park Tennis Club 0 0 42,715 42,715
4052 Allen Park (Master Plan) 49,155 9,378 255,640 197,107
4053 42 Smyth Rd ‐ Hollywood Subiaco Bowling 2,236 8,946 13,000 1,817
4101 Melvista Reserve 0 ‐1,161 0 1,161
4108 Alfred Rd/Montgomery Ave ‐ MTC Oval 2,942 0 0 ‐2,942
4201 John XXIII Ave ‐ Council Depot 1,960 6,810 25,000 16,230
9000 City Wide 15,255 14,606 65,000 35,139
CITY OF NEDLANDSCAPITAL WORKS & ACQUISITIONS
AS AT 31 MARCH 2018
Item 13.5 - Attachment 2
Building Construction Total 339,402 72,630 1,048,980 636,948
12 Off Street Parking
402 Beaton Park ‐ Car park stage 2 305,368 0 286,000 ‐19,368
404 Hollywood Bowling C ‐ UG fence & resurfacing 125,558 13,518 130,000 ‐9,075
Off Street Parking Total 430,926 13,518 416,000 ‐28,443
14 Parks & Reserves Construction
4051 Administration Surrounds 1,092 0 9,620 8,528
4052 Allen Park 10,293 0 10,140 ‐153
4055 Asquith Park 0 0 278,200 278,200
4060 Birdwood Parade Reserve 0 0 17,420 17,420
4061 Bishop Road Reserve 1,092 0 3,250 2,158
4064 Brockman Reserve 16,264 0 10,400 ‐5,864
4072 College Park 0 34,946 0 ‐34,946
4078 Daran Park 0 12,309 17,810 5,501
4079 David Cruickshank Reserve 0 28,840 0 ‐28,840
4082 Dott Bennett Park 9,519 0 14,430 4,911
4083 Sunset Foreshore 49,231 0 50,400 1,169
4089 Hamilton Park 0 9,048 11,570 2,522
4094 Jones Park 630 482 15,340 14,229
4101 Melvista Reserve 0 0 35,750 35,750
4128 Shirley Fyfe Park 3,220 14,347 24,830 7,263
4137 Swanbourne Beach Reserve 6,061 0 6,160 99
4169 River Wall Restoration 39,023 23,399 877,800 815,379
4300 Bore Installation MTC G/Water Monitoring 24,500 0 20,000 ‐4,500
700 Beaton Park ‐ Irrigation upgrade 26,925 49,188 106,400 30,287
701 Beaton Park ‐ R bollard lighing 487 0 56,300 55,813
702 Charles Ct Rsv ‐ R fencing to bollard 0 39,244 53,170 13,926
703 Charles Ct Rsv ‐ R boomgate 5,362 0 4,940 ‐422
704 Charles Ct Rsv ‐ R rugby goals x2 23,615 0 31,980 8,365
705 Charles Ct Rsv ‐ R park sign 6,160 0 8,710 2,550
706 College Park ‐ R security lights 5,488 0 12,870 7,382
707 College Park ‐ UG irrigation system 0 0 98,000 98,000
708 College Park ‐ R tennis court & nets x3 0 0 47,970 47,970
709 College Park ‐ R basketball tower 4,463 0 8,580 4,117
710 College Park ‐ UG fitness equipment 30,177 2,590 47,970 15,203
712 David C Rsv ‐ R cricket nets 0 0 47,970 47,970
713 David C Rsv ‐ Construct internal DUP 108,951 0 65,910 ‐43,041
714 David C Rsv ‐ INST dry climate planting 88,911 0 31,500 ‐57,411
715 David C Rsv ‐ UG irrigation system 263,747 0 360,500 96,753
716 Lesley Graham Rsv ‐ Renew garden beds 0 0 24,050 24,050
717 Lesley Graham Rsv ‐ INST new bore & pump 46,799 0 46,900 101
718 Mt Claremont Rsv ‐ UG 2 eroded paths 95 51,914 120,900 68,890
719 Mt Claremont Rsv ‐ INST basketball fence 13,461 0 12,870 ‐591
720 Ned Library S ‐ R 32m section fence 3,436 0 3,900 464
721 Ned Library S ‐ R bollard light x 6 12,418 0 24,830 12,412
722 PM Rose Gdn ‐ R 230m fence to bollard 0 9,607 16,380 6,773
723 PM Rose Gdn ‐ R rose garden beds 2,105 0 15,990 13,885
724 Pt Res Rsv ‐ DVPT Greenway buffer S1 1,747 5,727 55,900 48,425
725 Pt Res Rsv ‐ Construct 710m DUP 0 0 47,060 47,060
726 River Fshore ‐ INST landscaping JL Pd 0 0 64,000 64,000
728 St John Wood Bv POS ‐ DVLP park 0 0 16,250 16,250
729 St John Wood Bv POS ‐ INST ctrl cabinet 1,268 0 232,100 230,832
Parks & Reserves Construction Total 806,542 281,641 3,067,020 1,978,837
15 Plant & Equipment
7500 Technical Svs ‐ Engineering 249,566 61,319 249,000 ‐61,885
7501 Development Svs ‐ Town Planning 60,038 0 63,000 2,962
7502 Development Svs ‐ Building Svs 63,477 3,030 72,000 5,493
7505 Planning & Development Svs ‐ Ranger Svs 18,365 313 16,000 ‐2,679
7509 Technical Svs ‐ Parks Svs 278,543 11,149 307,000 17,308
7510 Governance ‐ Human Resources 0 0 38,000 38,000
7511 Community Svs ‐ Service Centres 97,764 5,572 106,000 2,664
7512 Community Svs ‐ Community Development 16,271 0 19,500 3,229
Plant & Equipment Total 784,024 81,384 870,500 5,093
16 ICT Capital Projects
6039 Library System Software 0 4,179 70,000 65,821
6053 Hardware 50,726 0 52,100 1,374
6054 Sofware 0 0 80,000 80,000
6055 Mobility 4,784 0 10,000 5,216
ICT Capital Projects Total 55,510 4,179 212,100 152,411
17 Greenway Development
4172 Point Resolution Reserve ‐ Greeway 0 995 0 ‐995
Item 13.5 - Attachment 2
Greenway Development Total 0 995 0 ‐995
18 Furniture & Fixture
4007 140 Melvista Ave ‐ JC Smith Pavilion 11,059 0 0 ‐11,059
4010 97 Wartah Ave ‐ NCC 0 0 5,000 5,000
4020 71 Stirling Hwy ‐ Administration Bldg 11,641 0 0 ‐11,641
7505 Planning & Development Svs ‐ Ranger Svs 15,947 9,180 44,000 18,873
Furniture & Fixture Total 38,647 9,180 49,000 1,173
20 Major Projects ‐ Parks
900 Beaton Park ‐ AAPS Stage 1 1,278,178 334,401 1,473,240 ‐139,339
902 Beaton Park ‐ Riverwall Stage 2 401 374,141 0 ‐374,542Major Projects ‐ Parks Total 1,278,579 708,541 1,473,240 ‐513,881
City of Nedlands Total 7,217,307 2,607,729 14,226,641 4,401,604
Item 13.5 - Attachment 2
2017/18 2016/17
YTD 31 March 2018 YTD 31 March 2017
Current Assets
Cash & Cash Equivalents 16,580,425 16,668,847
Receivable ‐ Rates Outstanding 1,412,649 1,662,036
Receivable ‐ Sundry Debtors 652,618 252,211
Receivable ‐ Self Supporting Loan 3,242 3,145
GST Receivable 121,005 264,324
Prepayments 186,333 133,944
Less: Provision for Doubtful Debts (1,170) (1,170)
Inventories 3,627 2,225
18,958,729 18,985,562
Current Liabilities
Payable ‐ Sundry Creditors (153,857) (243,012)
Payable ‐ ESL (328,852) (431,079)
Accrued Salaries and Wages (50,698) (118,497)
Staff Provisions (2,180,192) (1,953,996)
Borrowings (251,615) (238,996)
(2,965,214) (2,985,580)
15,993,515 15,999,982
Less: Restricted Reserves (4,598,327) (4,071,685)
Less: Current Self Supporting Loan Liability (3,242) (3,145)
Add Back: Loan Repayment 251,615 238,996
*Net Current Assets 11,643,561 12,164,148
CITY OF NEDLANDS
NOTES TO THE STATEMENT OF FINANCIAL ACTIVITY
CLOSING FUNDS
FOR THE PERIOD ENDING 31 MARCH 2018
12/04/2018 5:24 PM
Item 13.5 - Attachment 3
Note 2017‐18 Mar 18 Mar 18 Mar 18
Annual Budget YTD Budget YTD Actual YTD Variance Variance
$ $ $ $ %
Operating Income
Governance 134,300 100,719 219,180 118,461 117.6%
Corporate & Strategy 23,586,998 23,354,722 23,418,612 63,890 0.3%
Community Development 2,384,600 1,802,938 1,816,448 13,510 0.7%
Planning & Development Services 1,606,900 1,252,516 1,126,458 (126,058) ‐10.1%
Technical Services 4,034,080 3,872,526 4,084,347 211,821 5.5%
31,746,878 30,383,421 30,665,045 281,624 0.9%
Operating Expense
Governance (2,788,871) (2,152,815) (1,945,501) 207,314 9.6%
Corporate & Strategy (719,358) (439,050) 62,086 501,136 114.1%
Community Development (5,985,116) (4,497,192) (3,977,230) 519,962 11.6%
Planning & Development Services (5,551,762) (4,209,278) (3,791,067) 418,211 9.9%
Technical Services (23,438,211) (15,840,386) (15,015,871) 824,515 5.2%
(38,483,318) (27,138,721) (24,667,583) 2,471,138 9.1%
Capital Income
Grants Capital 3,976,369 2,520,063
Proceeds from Disposal of Assets 607,000 427,116
New Borrowings 7,200,000 3,233,761
Self Supporting Loan Principal Repayments 12,821 12,724
Transfer from Reserve 1,782,300 0
13,578,490 6,193,664
Capital Expenditure
Land & Buildings (1,048,980) (313,228)
Infrastructure ‐ Road (6,605,801) (3,940,777)
Infrastructure ‐ Parks (5,440,260) (2,085,122)
Plant & Equipment (870,500) (784,024)
Furniture & Equipment (261,100) (94,157)
Repayment of Debentures (983,843) (732,228)
Transfer to Reserves (2,092,298) (81,697)
(17,302,782) (8,031,232)
Total Operating and Non‐Operating (10,460,732) 4,159,895
Adjustment ‐ Non Cash Items
Depreciation 7,251,700 4,517,682
Receivables/Provisions/Other Accruals 15,000 27,323
(Profit) on Sale of Assets (30,100) (49,645)
Loss on Sale of Assets 29,900 22,855
ADD ‐ Surplus/(Deficit) 1 July b/f 3,007,968 2,965,451
LESS ‐ Surplus/(Deficit) 30 June c/f (186,264) 11,643,561
10,460,732 (4,159,895)
CITY OF NEDLANDS
STATEMENT OF FINANCIAL ACTIVITY
BY DIRECTORATES
FOR THE PERIOD ENDED 31 March 2018
12/04/2018 5:26 PM
Item 13.5 - Attachment 4
Council Agenda 24 April 2018
46
13.6 Investment Report – March 2018 Council 24 April 2018 Applicant City of Nedlands Officer Vanaja Jayaraman – Manager Financial Services Director Lorraine Driscoll – Director Corporate & Strategy Attachments Investment Report for the period ended 31 March 2018
Executive Summary In accordance with the Council’s Investment Policy, Administration is required to present a summary of investments to Council on a monthly basis. Recommendation to Council Council receives the Investment Report for the period ended 31 March 2018. Discussion/Overview Council’s Investment of Funds report meets the requirements of Section 6.14 of the Local Government Act 1995. The Investment Policy of the City, which is reviewed each year by the Audit and Risk Committee of Council, is structured so as to minimise any risks associated with the City’s cash investments. The officers adhere to this Policy, and continuously monitor market conditions to ensure that the City obtains attractive and optimum yields without compromising on risk management. The Investment Summary shows that as at 31 March 2018 the City held the following funds in investments: Municipal Funds $ 7,652,793.15 Reserve Funds $ 4,589,327.70 Total $ 12,251,120.85 The total interest earned from investments as at 31 March 2018 was $270,889.67.
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The Investment Portfolio comprises holdings in the following institutions:
Financial Institution Funds Invested Interest Rate Proportion of
Portfolio NAB $3,670,137.35 2.25% - 2.47% 29.96%
Westpac $4,145,835.34 2.50% - 2.75% 33.84%
ANZ
$1,330,544.87
2.30% - 2.50% 10.86%
CBA $3,104,603.29 0.60% - 2.38% 25.34%
Total $12,251,120.85 100.00%
Conclusion The Investment Report is presented to Council. Key Relevant Previous Council Decisions: Nil. Consultation Required by legislation: Yes No Required by City of Redlands policy: Yes No Budget/Financial Implications Investment income is steady as per budget.
29.96%
33.84%
10.86%
25.34%
Portfolio Diversity
NAB Westpac ANZ CBA
Interest Invest. Maturity Period NAB Westpac ANZ CBA Interest
Particulars Rate Date Date Days *AA‐/Stable/A‐1+ *AA‐/Stable/A‐1+ *AA‐/Stable/A‐1+ *AA‐/Stable/A‐1+ Total YTD Accumulated
RESERVE INVESTMENTS
Plant Replacement 2.50% 11‐Nov‐17 11‐May‐18 181 152,936.59 152,936.59 $2,740.02
City Development ‐ Western Zone 2.38% 18‐Oct‐17 17‐Apr‐18 181 466,333.24 466,333.24 $8,062.50
North Street 2.46% 22‐Dec‐17 23‐Apr‐18 122 761,667.74 761,667.74 $13,934.45
Welfare ‐ General 2.36% 18‐Dec‐17 18‐Jun‐18 182 304,654.32 304,654.32 $5,308.99
Welfare ‐ NCC 2.36% 18‐Dec‐17 17‐Apr‐18 120 168,855.41 168,855.41 $2,945.99
Welfare ‐ PRCC 1.30% N/A N/A N/A 15,371.75 15,371.75 $72.18
Services ‐ Tawarri 1 2.46% 22‐Dec‐17 23‐Apr‐18 122 65,273.14 65,273.14 $1,194.15
Services General 2.47% 29‐Jan‐18 30‐Apr‐18 91 951,058.48 951,058.48 $17,242.76
Services ‐ Tawarri 2 2.50% 11‐Nov‐17 11‐May‐18 181 112,073.67 112,073.67 $2,007.92
Insurance 2.50% 11‐Nov‐17 11‐May‐18 181 62,383.92 62,383.92 $1,117.66
Waste Management 2.38% 18‐Oct‐17 17‐Apr‐18 181 489,007.85 489,007.85 $8,473.44
City Development ‐ Swanbourne 2.36% 18‐Dec‐17 18‐Jun‐18 182 128,479.64 128,479.64 $2,238.94
City Building ‐ General 2.46% 22‐Dec‐17 23‐Apr‐18 122 467,258.93 467,258.93 $8,548.34
City Building ‐ PRCC 1.30% N/A N/A N/A 25,537.02 25,537.02 $117.77
Business system Reserve 2.46% 27‐Dec‐17 27‐Apr‐18 121 101,862.93 101,862.93 $1,849.50
Public Art Reserves 2.46% 27‐Dec‐17 27‐Apr‐18 121 86,583.48 86,583.48 $1,572.07
Waste Management Reserve 2.46% 27‐Dec‐17 27‐Apr‐18 121 101,862.92 101,862.92 $1,849.49
City Development Reserve 2.46% 27‐Dec‐17 27‐Apr‐18 121 88,302.93 88,302.93 $1,603.29
Building Replacement Reserve 2.46% 27‐Dec‐17 27‐Apr‐18 121 43,801.05 43,801.05 $795.28
Welfare Serices 0.60% 28‐Feb‐18 31‐Mar‐18 31 5,022.68 5,022.68 $22.52
TOTAL RESERVE INVESTMENTS 2,667,671.60 0.00 327,394.18 1,603,261.91 4,598,327.70 $81,697.26
MUNICIPAL INVESTMENTS
Muni Investment NS31 2.75% 31‐Mar‐18 30‐Apr‐18 30 2,138,775.15 2,138,775.15 $39,550.25
Muni Investment NS60 2.50% 31‐Mar‐18 31‐May‐18 61 1,004,320.46 1,004,320.46 $4,320.46
Muni Investment #127 ‐ NAB‐CLOSED 0.00 0.00 $10,353.70
Muni Investment #131 ‐ ANZ‐CLOSED 0.00 0.00 $6,175.34
Muni Investment #129 ‐ NAB‐CLOSED 0.00 $3,624.66
Muni Investment #142 ‐ CBA‐CLOSED 0.00 $3,119.39
Muni Investment #158 ‐ CBA 1.92% 14‐Mar‐18 16‐Apr‐18 33 1,501,341.37 1,501,341.37 $1,341.37
Muni Investment #128 ‐ NAB‐CLOSED 0.00 0.00 $12,249.87
Muni Investment #130 ‐ ANZ‐CLOSED 0.00 0.00 $6,257.61
Muni Investment #146 ‐ NAB ‐CLOSED 0.00 0.00 $28,771.76
Muni Investment #147 ‐ WBC‐CLOSED 0.00 0.00 $6,289.87
Muni Investment #148 ‐ WBC‐CLOSED 0.00 0.00 $3,238.63
Muni Investment #149 ‐ WBC 2.50% 19‐Feb‐18 21‐May‐18 91 1,002,739.73 0.00 1,002,739.73 $15,224.66
Muni Investment #150 ‐ ANZ‐CLOSED 0.00 0.00 $8,354.77
Muni Investment #151 ‐ ANZ‐CLOSED 0.00 0.00 $8,410.01
Muni Investment #157 ‐ ANZ 2.30% 9‐Feb‐18 9‐May‐18 89 1,003,150.68 1,003,150.68 $3,150.68
Muni Investment #152 ‐ NAB 2.25% 19‐Feb‐18 24‐Apr‐18 64 1,002,465.75 1,002,465.75 $15,137.00
Muni Investment #153 ‐ WBC‐CLOSED 0.00 $3,024.66
Muni Investment #154 ‐ WBC‐CLOSED 0.00 $2,432.88
Muni Investment #155 ‐ WBC‐CLOSED 0.00 $1,630.68
Muni Investment #156 ‐ ANZ‐ CLOSED 0.00 $6,534.14
TOTAL MUNICIPAL INVESTMENTS 1,002,465.75 4,145,835.34 1,003,150.68 1,501,341.37 7,652,793.15 $189,192.41
TOTAL TOTAL 3,670,137.35 4,145,835.34 1,330,544.87 3,104,603.29 12,251,120.85 $270,889.67
* Credit Rating ‐ Source: Standard & Poor's
Proportion Portfolio 29.96% 33.84% 10.86% 25.34%
INVESTMENTS REPORT
FOR THE PERIOD ENDED 31 MARCH 2018
13/04/2018 9:31 AM
Item 13.6 - Attachment 1
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13.7 RFT 2017-18.13 LED Lighting with Smart Controls Council 24 April 2018 Applicant City of Nedlands Officer Nathan Brewer – Purchasing and Tenders Coordinator Director Martyn Glover – Director Technical Services Attachments 1. Final Evaluation (confidential)
Executive Summary To award for the tender for the Supply of LED lighting with Smart Controls. Recommendation to Committee Council: 1. Agrees to award RFT 2017-18.13 LED Lighting with Smart Control
to Philips Lighting Australia Limited; and 2. Authorises the Chief Executive Officer to Sign the acceptance of
offers. Discussion/Overview Background It was resolved at the Ordinary Meeting of Council (extract from minutes below) of 25 July 2017 that: Council: 2. Confirms that all new street light networks associated with underground
power are to be LED with the options to have smart control and to be owned and maintained by the City of Nedlands; and
3. Seeks an option to tender for the Nedlands (West Hollywood) Underground
Power Project streetlight network as part of a separate tender process administered by the City of Nedlands;
In December 2017, the Administration met with Western Power’s CEO, Guy Chalkley to discuss the option of the City retaining the street light asset in the Nedlands (West Hollywood) Underground Power Project. Because the City wished to include smart controls, Western Power supported the request as they were unable to supply the product. Western Power also agreed that the City would supply the luminaires, pole cable and cut-out boxes to be installed in Western Power supplied poles.
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Tender Information To comply with legislative requirements outlined in the Local Government Act 1995 and to ensure the best value for money for the City, tenders were publicly invited. Tender 2017-18.13 was advertised on 12 February 2018 in the West Australian Newspaper and at www.tenderlink.com/nedlands. The tender period ended on 6 March 2018, and submitted tenders were opened by officers of the City at 2:30 pm. Six (6) submissions were received by the City. Compliant tenders were received from the following companies: 1. Gerard Lighting Pty Ltd 2. Lightsense Australia Pty Ltd 3. Mondoluce (Aust) Pty Ltd 4. ARCSG Pty Ltd 5. Philips Lighting Australia Limited One non-compliant tender was received from Pro Lamps Pty Ltd. Evaluation The tender was independently evaluated by three (3) City officers in accordance with the qualitative criteria specified in the tender documentation. Qualitative aspects of this tender were afforded a total of 40% of the total score. Price criteria was evaluated on a schedule of rates basis, against prices based on the completed itemised price schedule included within the tender submissions. A price criteria score was allocated based on the best value being scored at 100% and other values scored proportionally against this price. A total of 60% weighting was allocated to the price criteria. Conclusion After an assessment of the submitted tenders, it is proposed that the tender submission received from the contractor, Philips Lighting Australia Limited, be accepted. Philips scored highest in the evaluation process, scoring highest in the quantitative and qualitative criteria. Philips are the world’s largest supplier of LED lighting products and maintaining an office in Perth. The products and services provided by Philips most closely matched the request, including plug and play smart nodes, communication over cellular networks allowing for greater flexibility and requiring less peripheral items. They also proposed smart system management software for control and monitoring of the network used in cities throughout the world. Philips have recently been
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awarded the contract to supply luminaires to Western Power, therefore allowing for greater consistency throughout the City. Philips nominated experienced staff with a thorough knowledge of public lighting and extensive evidence of experience on many projects of a similar size and scope. The final scores can be found in Attachment 1. Key Relevant Previous Council Decisions: None. Consultation None. Budget/Financial Implications $50,000 per annum is listed in the Five - Year Capital Works Program for the next five years for the replacement of existing private and Western Power luminaires. $125,000 is budgeted in the Nedlands (West Hollywood) Underground Power Project for supply of luminaires, feeder cables and cut-out boxes. There was only one price provided for cut-out boxes, consequently the City has not accepted this price and will seek quotes separately for this component. The recommended contract proposal is within budget.
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13.8 Local Planning Scheme 3 – Consideration of Submissions Council 24 April 2018 Applicant City of Nedlands Officer Aron Holbrook – Coordinator Strategic Planning Director Peter Mickleson – Director Planning and Development Attachments Nil
Executive Summary The purpose of this report is to provide Council an overview of how the City will be progressing draft Local Planning Scheme 3 (draft LPS3) following the close of the submission period and to get Council’s resolution on the process it wishes to follow in considering submissions. Recommendation to Council Council: 1. Instructs the CEO to undertake the following tasks:
a. Summarise each submission to draft Local Planning Scheme 3;
b. Extract the issues or key themes raised in submissions which
relate to the planning principles established in the Local Planning Strategy;
c. Investigate these issues or key themes to determine how they may
be resolved in line with the planning principles in the Local Planning Strategy; and
d. Recommend to Council actions to be undertaken to address the
issues which may include proposed modifications to the advertised draft Local Planning Scheme 3.
2. Schedule a series of Special Council meetings in late June and July
2018 to consider submissions, proposed solutions and recommend modifications to draft LPS3 for forwarding to the West Australian Planning Commission as required by clause 28 of the Planning and Development (Local Planning Schemes) Regulations 2015 (Regulations).
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Background Statutory Requirements The Regulations set out the legislative requirements for advertising a Scheme. It states that a Local Government should advertise a draft local planning scheme by: 1. publishing a notice newspaper advert; 2. display a copy in the local government office; 3. give notice to other public authorities likely to be affected; and 4. publish the draft scheme on its website.
The Local Government must accept submissions for a minimum of 90 days from the day the notice is published under step 1. In the case of draft LPS3 the submission period was extended to 120 days as it was over the Christmas/New Year period. At the close of the submission period the consideration period begins. During the consideration period the Local Government must consider all submissions on a draft local planning scheme and must pass a resolution: 1. to support the draft scheme without modification; or 2. to support the draft scheme with proposed modifications to address issues
raised in the submission; or 3. not to support the draft scheme. The consideration period is 120 days and commenced on the 4 April 2018, therefore concluding on the 2 August 2018. The consideration period can be extended by the Western Australian Planning Commission (WAPC). However, discussions with the WAPC have established that it is ‘very unlikely’ that the consideration period will be extended if a formal request was made. Community Engagement Activities
The purpose of engagement was to gain an understanding of the community’s views on draft LPS3 as modified by the WAPC. The engagement period commenced formally on Friday 1 December 2017 and concluded on Thursday 29 March 2018. In addition, the community engagement period was extended over the Easter break to allow people to lodge their submissions during this period. Engagement officially closed on Tuesday, 3 April 2018, resulting in a total of 130 days (82 business days) of community engagement. Key statistics from the engagement period are as follows: • 8,091 visitors to the Your Voice - draft Local Planning Scheme online
engagement page, who collectively viewed 22,930 pages • 421 new Your Voice registrations
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• 5,133 visitors to Your Voice viewed at least one page • 3,125 visitors to Your Voice viewed more than one page, downloaded
documents, visited the FAQs or read the newsfeeds • 567 people engaged in the Your Voice project page • 29 people asked questions of the City through the Your Voice project page • 306 people attended the Open Days (not all attendees recorded their
names) • The Facebook and Twitter posts reached 1,565 people • 319 telephone calls over 82 business days from 24 November 2017 to 3
April 2018 registered in the City’s contact management system • Approximately 150 conversations were held by Planners with customers
visiting the Administration building Total submissions received was 1,072* (547 online, 268 emails and 257 letters). *NB: Submissions are still being validated and duplicates may still exist Discussion Considering submissions The key part of the Regulations is that the Local Government must consider all submissions on a draft local planning scheme, prior to passing any resolution. There is no further guidance in the Act or Regulations as to how Council should consider submissions. The Chair of the WAPC, in discussions with Council on 6 February 2017, stated that the WAPC would only entertain recommendations on submissions that related back to “planning principles”. In discussions between Department of Planning staff and the City it has been further reinforced that submissions must relate to planning principles and it is the opinion of City Administration that the most accepted set of planning principles are those contained in the City’s Local Planning Strategy (approved Sept 2017). The Local Planning Strategy has been adopted/endorsed by both Council and the WAPC and therefore represents “common ground” on which to assess submissions against. In seeking to address the issues raised in submissions, the City will assess whether the Local Planning Strategy supports possible modifications to the advertised Local Planning Scheme 3, or if any other action as may be necessary, to resolve the issue. Given the above, Administration will undertake the following tasks:
1. Summary of submissions:
Read each submission carefully and summarise each submission;
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2. Issue identification:
Extract these issues or key themes raised which relate to the planning principles established in the Local Planning Strategy;
3. Analysis and problem solving:
Investigate the issues or key themes to determine how they may be
resolved in line with the planning principals in the Local Planning Strategy; and
4. Recommend solutions:
Recommend to Council actions to be undertaken to address the issues
which may include proposed modifications to the advertised draft LPS3. Administration believe this process will ensure that all submissions are given due care and attention as anticipated by the community in the consideration of submissions process and as advised by the Chair of the WAPC and the Department of Planning. The City is already underway in the completion of task 1 and anticipates being able to move into issue identification shortly. Consideration by Council There are varying levels of involvement that the Council may wish to have in the process outlined above which are provided as options below. Option 1 Administration works through all four tasks required to consider the submissions and puts a report on Local Planning Scheme 3 to a, or a series of, Council meetings. The report would include the summary of submissions, list of issues/themes identified with discussion and recommendations plus the subsequent schedule of modifications to draft Local Planning Scheme 3 that would be required to action the recommendations. Administration believes it can achieve this option within the 120-day consideration period, however the recommendations and subsequent modifications to the draft scheme would seek only to make it operable with significant issues needing to be resolved through further amendments to Local Planning Scheme 3 once in operation.
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Option 2 Administration works through the first three tasks and puts to Council, through a series of Special Council meetings, the issues identified, solutions found and recommended actions. Council will be able to ensure that public concerns and aspirations have been consistently understood and considered. Council will be able to appreciate the issue, be informed of the analysis and decide on the solution. Administration believes it can achieve this option within 4-6 months. Recommendations and subsequent modifications to the draft scheme would seek to make it operable and resolve significant issues with detailed issues to be resolved through further amendments to Local Planning Scheme 3 once in operation. Option 3 Administration works through the first two tasks and puts to Council, through a series of workshops/briefings or Special Council meetings, the summary of submissions and the issues identified. Council would be presented with the summary of submissions and asked to assist in the classification of issues. Council will then be asked to workshop ideas for solving the issues raised. Administration would report back to Council at subsequent workshops with potential solutions. Solutions will eventually be put to Council through a series of Special Council meetings, where a decision can be made on each item. Administration believes it can achieve this option within 12 months. Recommendations and subsequent modifications to the draft scheme would seek to make it operable and resolve most of the issues raised with Local Planning Scheme 3. Recommended Option Option 2 is the recommended option for the following reasons: • Enables the 120-day period for consideration of submissions to be met
bearing in mind there are over 1000 individual submissions many of which have numerous submission points
• Provides the appropriate balance of workload between Administration
summarising submissions, identifying issues/themes, proposing solutions and the Council consideration of the submissions and proposed solutions along with recommendations to the WAPC of proposed modifications to draft LPS3
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• Consideration of submissions at Special Council meetings allows for orderly debate around the proposed solutions and most importantly a formal decision by Council on the solution and recommended modifications to LPS3
Process from here Once Council has resolved its preferred option Administration will continue with tasks 1 - 4. If Option 2 is adopted it is anticipated a series of Council meetings would be held in late June running through July as the 120-day consideration period ends on 2nd August 2018. By this date, Council must have considered all submissions and resolved: 1. to support the draft scheme without modification; or 2. to support the draft scheme with proposed modifications to address issues
raised in the submission; or 3. not to support the draft scheme.
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13.9 Conference Attendance Request – Councillor Smyth to Attend 2018 World Cities Summit & Mayors Forum in Singapore from 8-12 July 2018 Council 24 April 2018 Applicant City of Nedlands Officer Nicole Ceric, Executive Assistant to CEO & Mayor CEO Greg Trevaskis Attachments 1. 2018 World Cities Summit 8th Mayors Forum Report
2. 2018 World Cities Summit Mayors Forum Hospitality Entitlements
3. 2018 World Cities Summit Mayors Forum Frequently Asked Questions
Executive Summary The purpose of this report is to seek Council approval for the Councillor Smyth to accompany the Mayor in attending the 2018 World Cities Summit and Mayor’s Forum being held in Singapore from 8 to 12 July 2018.
Recommendation to Council Council: 1. approves the Councillor Smyth’s request to accompany the Mayor in
attending the 2018 World Cities Summit and Mayor’s Forum being held in Singapore from 8 to 12 July 2018;
2. accepts all costs associated with Councillor Smyth’s incidental costs,
World City Prize Award Ceremony & Banquet attendance, airfares and accommodation as outlined in this report; and
3. accepts the provision of hospitality offered by the World Cities
Summit to cover the Councillor Smyth’s registration and hotel transportation, meals during the forum and associated events, site visits from the list of official site visits from 7-11 July 2018.
Discussion / Overview Background The World Cities Summit is the exclusive platform for government leaders and industry experts to address liveable and sustainable city challenges, share integrated urban solutions and forge new partnerships. The 6th World Cities Summit is Themed “Liveable & Sustainable Cities: Embracing The Future Through Innovation and Collaboration will explore how cities can be more liveable and resilient through better governance and
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planning, technology and social innovations, as well as collaborations with various stakeholders and with other cities. Through shared vision and active engagement, the public, private and people sectors can co-create innovative and integrated urban solutions for a more sustainable future. Highlights of the World Cities Summit: • Lee Kuan Yew World City Prize Lecture and Forum • World Cities Summit Mayors Forum • World Cities Summit Young Leaders Symposium • Thematic Tracks and Forums • In-conversation • Leaders Summit • World Cities Summit Plenary • Business Forums There will be networking activities, as well as co-located events by strategic partners, all of which will provide more opportunities to gain insights and contacts. It will be an exciting week for everyone who wants to play an active role in the development of liveable and sustainable cities. Discussion Councillor Smyth would like to attend the 2018 World Cities Summit and Mayor’s Forum being held in Singapore from 8 to 12 July 2018. Councillor Smyth values getting together with other Mayors and Councillors to discuss issues of common interest. It is intended that the Councillor Smyth will provide a full report on the Conference upon her return. It is not envisaged that there will be any further overseas funding request this year. The approximate value of the hospitality and registration to be provided to Councillor Smyth as the accompanying officer is as follows:
• One (1) WCS Premium Pass worth S$2,800 and entry into Mayors Forum • Two-way airport transfers with the Mayor/Head of Delegation (if travelling
together) • Meals during the Forum and associated events • Site visits from the list of official site visits
Councillor Smyth requests that Council pay for: • Accommodation (4 nights) $1,600 (approx.) • World City Prize Award Ceremony & Banquet $300 (discounted from $600) • Economy Airfare $1,200 (approx.) • Incidental Costs $200 (approx.)
TOTAL $2,900
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Key Relevant Previous Council Decisions: At the Ordinary Meeting of Council held on 27 February 2018, Council approved Mayor Hipkins to attend the 2018 World Cities Summit & Mayor’s Forum that will be held in Singapore as follows: Council: 1. approves the Mayor’s request to attend the 2018 World Cities Summit and
Mayor’s Forum being held in Singapore from 8 to 12 July 2018; 2. accepts all costs associated with the Mayor’s incidental costs, World City
Prize Award Ceremony & Banquet attendance and airfares as outlined in this report; and
3. accepts the provision of hospitality offered by the World Cities Summit to
cover the Mayor’s registration, accommodation and hotel transportation, meals during the forum and associated events, site visits from the list of official site visits from 7-11 July 2018.
Consultation
Required by legislation: Yes No Required by City of Nedlands policy: Yes No No public consultation required. Budget/Financial Implications Within current approved budget: Yes No Requires further budget consideration: Yes No The 2017/18 budget for Members of Council Conferences & Meetings is $15,000. At 18 April 2018, $7350.00 had been allocated. Councillor Smyth’s request to attend the World Cities Summit is within the current approved budget.
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14. Elected Members Notices of Motions of Which Previous Notice Has Been Given Disclaimer: Where administration has provided any assistance with the framing and/or wording of any motion/amendment to a Councillor who has advised their intention to move it, the assistance has been provided on an impartial basis. The principle and intention expressed in any motion/amendment is solely that of the intended mover and not that of the officer/officers providing the assistance. Under no circumstances is it to be expressed to any party that administration or any Council officer holds a view on this motion other than that expressed in an official written or verbal report by Administration to the Council meeting considering the motion.
14.1 Councillor Hassell – City of Nedlands Heritage List On 10 April 2018 Councillor Hassell gave notice of his intention to move the following at this meeting. Council requests the CEO to ensure that for the May 2018 round of Committee/Council meetings the administration presents to Council advice and a recommendation for the completion of the heritage list of the City of Nedlands as per the previous recommendations and discussions. The material presented should include a summary of deliberations on the matter since 2010. Justification 1. We have been contemplating a new heritage list for all the years I have
been on Council – since 2011.
2. The completion of a new list has been stymied by repeated endeavours to include on the list private properties where the owners do not wish to be included.
3. More recently the Council surveyed owners of properties suggested for
inclusion on the list and identified,
• Those willing to be included in the list; and • Those not willing to be included in the list.
4. There is no reason not to proceed to update our heritage commitment by
including in our list: (i) All heritage assessed public buildings, and (ii) All heritage assessed private buildings where the owners’ consent.
5. Progress has now been made with the completion of an incentive scheme
to encourage consent to listings. That can proceed to its completion within the context of our new regime.
6. It really is time the Council completed this task and put it to bed, recognising the rights of owners not to be included if they do not consent.
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14.2 Councillor Wetherall – Local Planning Scheme 3 On 18 April 2018 Councillor Wetherall gave notice of his intention to move the following at this meeting. Further to the CEO Report Item 13.8 Local Planning Scheme 3 – Consideration of Submissions and Special Council Meetings proposed to be held in June and July 2018: 1. Council requests the CEO to invite the new Chairman of the WAPC
(Professor David Caddy) to an informal meeting with Council immediately prior to one of the Special Council Meetings; and
2. the purpose of this meeting is to have an informal discussion concerning
issues arising from the latest version of the Local Planning Scheme 3 and if appropriate to discuss pathways, means and opportunities for the City of Nedlands to progress the next stage of this statutory process.
Justification In the 5 months since the City of Nedlands received directions from the Western Australian Planning Commission (WAPC) to advertise a revised Local Planning Scheme 3 (LPS3) (that included additional and higher rezonings), there have been many reactionary responses, but little in the way of forward planning to manage the predicament in which the City of Nedlands finds itself. It is fair comment that the present inauspicious relationship between the City of Nedlands and the WA Government (through its proxy the Department of Planning, Lands and Heritage) is unfortunate and disadvantages our ratepayers in town planning and development negotiations. Last February, the outgoing Chair of the WAPC, Mr Eric Lumsden, met informally with the Council to explain the context of the WAPC’s directions to the City – it was in my opinion a useful meeting. Mr Lumsden’s successor as Chairman of the WAPC is Professor David Caddy who assumed this role on 23/4/18. It seems appropriate and sensible that the Council of the City of Nedlands be proactive in offering to meet with Professor Caddy as we did with Mr Lumsden. It is very much in the interests of our ratepayers that Council be proactive in engaging with the WAPC to identify common ground and possible trade-offs to resolve major differences. A few examples of the issues for which we might well engage in lateral thinking were included in my recent confidential letter to the Council. This Notice of Motion does not conflict with due process and nor is it so intended. At the very least the informal meeting should assist in repairing the City’s relationship with the WA Government and hence the WAPC Positive outcomes would be a bonus and may well prove critical in smoothing the way forward. If we do not try, we will never know what might have been achieved. Continuation of the present standoff (which seems to be favoured by some councillors and ratepayers) is not helpful in my view.
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15. Elected members notices of motion given at the meeting for consideration at the following ordinary meeting on 22 May 2018 Disclaimer: Where administration has provided any assistance with the framing and/or wording of any motion/amendment to a Councillor who has advised their intention to move it, the assistance has been provided on an impartial basis. The principle and intention expressed in any motion/amendment is solely that of the intended mover and not that of the officer/officers providing the assistance. Under no circumstances is it to be expressed to any party that administration or any Council officer holds a view on this motion other than that expressed in an official written or verbal report by Administration to the Council meeting considering the motion. Notices of motion for consideration at the Council Meeting to be held on 22 May 2018 to be tabled at this point in accordance with Clause 3.9(2) of Council’s Local Law Relating to Standing Orders.
16. Urgent Business Approved By the Presiding Member or By Decision
Any urgent business to be considered at this point.
17. Confidential Items
Any confidential items to be considered at this point.
Declaration of Closure
There being no further business, the Presiding Member will declare the meeting closed.